UNITED STATES
                       SECURITIES AND EXCHANGE COMMISSION
                             Washington, D.C. 20549

                                    Form 13F

                              Form 13F COVER PAGE

Report for the Calendar Year or Quarter Ended: JUNE 30, 2012

Check here if Amendment [ ];     Amendment Number: ___
This Amendment (Check only one.):           [   ] is a restatement.
                                            [   ] adds new holdings entries.

Institutional Investment Manager Filing this Report:
Name:            COMMUNITY BANK N.A.
Address:         5790 Widewaters Parkway
                 DeWitt, NY 13214-1883

Form 13F File Number: 028-11044

The institutional investment manager filing this report and the person by whom
it is signed hereby represent that the person signing the report is authorized
to submit it, that all information contained herein is true, correct and
complete, and that it is understood that all required items, statements,
schedules, lists and tables, are considered integral parts of this form.

Person Signing this Report on Behalf of Reporting Manager:

Name:    Patricia Lowe
Title:   Trust Operations AVP
         Oneonta Branch
Phone:   607 433 4129
Signature, Place, and Date of Signing:

Patricia A Lowe                      Oneonta, NY
[Signature]                         [City, State]                       [Date]

Report Type      (Check only one.):

[X] 13F HOLDINGS REPORT. (Check here if all holdings of this reporting manager
are reported in this report.

[ ] 13F NOTICE. (Check here if no holdings reported are in this report, and all
holdings are reported by other reporting manager(s).)

[ ] 13F COMBINATION REPORT. (Check here if a portion of the holdings for this
reporting manager are reported in this report and a portion are reported by
other reporting manager(s).)

List of Other Managers Reporting for this Manager: [If there are no entries in
this list, omit this section.]

         Form 13F File Number Name

         ___________________________________-  [Repeat as necessary.]





                                         Form 13F SUMMARY PAGE



Report Summary:

Number of Other Included Managers:                  0

Form 13F Information Table Entry Total:          270 +

Form 13F Information Table Value Total:          $155,913,841 + $210,096
                                                 (thousands)

List of other Included Managers:

Provide a numbered list of the name(s) and Form 13F file number(s) of all
institutional investment managers with respect to which this report is filed,
other than the manager filing this report.

[If there are no entries in this list, state [NONE] and omit the column headings
and list entries.]

         No.     Form 13F File Number              Name



         [Repeat as necessary.]











                            As Of Date : 6/30/2012

                           FORM 13F INFORMATION TABLE



                                TITLE OF               VALUE       SHARES/        INVESTMENT DESCRETION         VOTING AUTHORITY
NAME OF ISSUER                  CLASS       CUSIP     (X$1000)     PRN AMT       SOLE    SHARED  OTHER       SOLE    SHARED     NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                                 
AER Energy Res Inc New          Equity    000944207           0          50 SH     Sole          0                50   0        0
AGL Res Inc                     Equity    001204106       9,726         251 SH     Sole          0               251   0        0
AT&T Inc                        Equity    00206R102   3,209,186      89,994 SH     Sole          0            89,094   0      900
AT&T Inc                        Equity    00206R102     944,241      26,479 SH     Defined       0            22,279   0    4,200
Abbott Laboratories             Equity    002824100   2,357,668      36,570 SH     Sole          0            36,220   0      350
Abbott Laboratories             Equity    002824100     367,479       5,700 SH     Defined       0             4,600   0    1,100
Advanced Micro Devices Inc      Equity    007903107       1,146         200 SH     Sole          0               200   0        0
Aetna US Healthcare             Equity    00817Y108      38,770       1,000 SH     Defined       0                 0   0    1,000
Air Products & Chemicals Inc    Equity    009158106      24,219         300 SH     Sole          0               300   0        0
Alcoa Inc                       Equity    013817101       6,125         700 SH     Sole          0               700   0        0
Alcoa Inc                       Equity    013817101      35,875       4,100 SH     Defined       0             4,100   0        0
Alcatel Lucent                  Equity    013904305          15           9 SH     Sole          0                 9   0        0
Allstate Corp                   Equity    020002101      18,668         532 SH     Sole          0               532   0        0
Alpha Natural Res Inc           Equity    02076X102         941         108 SH     Defined       0               108   0        0
Altria Group Inc                Equity    02209S103       6,910         200 SH     Sole          0               200   0        0
Altria Group Inc                Equity    02209S103      25,913         750 SH     Defined       0               750   0        0
American Express Co             Equity    025816109      11,642         200 SH     Defined       0               200   0        0
American Int'l Group Wrts Exp   Equity    026874156          41           4 SH     Sole          0                 4   0        0
American Int'l Group Wrts Exp   Equity    026874156         103          10 SH     Defined       0                10   0        0
American Int'l Group Inc        Equity    026874784         225           7 SH     Sole          0                 7   0        0
Amgen Inc                       Equity    031162100     582,405       7,988 SH     Sole          0             7,988   0        0
Amgen Inc                       Equity    031162100     109,365       1,500 SH     Defined       0             1,500   0        0
Anadarko Petroleum Corp         Equity    032511107      39,720         600 SH     Sole          0               600   0        0
Annaly Capital Management Inc   Equity    035710409      18,458       1,100 SH     Sole          0             1,100   0        0
Apache Corp                     Equity    037411105     112,060       1,275 SH     Sole          0             1,275   0        0
Apple Computer Inc              Equity    037833100      67,160         115 SH     Sole          0               115   0        0
Applied Materials Inc           Equity    038222105      35,480       3,100 SH     Sole          0             3,100   0        0
Arrow Financial Corp            Equity    042744102         169           7 SH     Sole          0                 7   0        0
Astoria Financial Corp          Equity    046265104      71,540       7,300 SH     Sole          0             7,300   0        0
Astoria Financial Corp          Equity    046265104      35,280       3,600 SH     Defined       0             3,600   0        0
Autoliv Inc                     Equity    052800109         164           3 SH     Sole          0                 3   0        0
Automatic Data Processing Inc   Equity    053015103   1,752,065      31,478 SH     Sole          0            31,278   0      200
Automatic Data Processing Inc   Equity    053015103     328,394       5,900 SH     Defined       0             5,900   0        0
BB&T Corp                       Equity    054937107     195,898       6,350 SH     Sole          0             6,350   0        0
BB&T Corp                       Equity    054937107      30,850       1,000 SH     Defined       0             1,000   0        0
BP PLC ADR                      Equity    055622104       5,351         132 SH     Defined       0               132   0        0
Bank of America Corp            Equity    060505104      71,657       8,760 SH     Sole          0             8,760   0        0
Bank of America Corp            Equity    060505104       4,499         550 SH     Defined       0               550   0        0
Bank New York Mellon Corp       Equity    064058100      37,315       1,700 SH     Sole          0             1,700   0        0
Baxter International Inc        Equity    071813109      10,630         200 SH     Defined       0               200   0        0
Becton, Dickinson & Co          Equity    075887109     171,925       2,300 SH     Sole          0             2,300   0        0
Becton, Dickinson & Co          Equity    075887109     149,500       2,000 SH     Defined       0             2,000   0        0
Bemis Co Inc                    Equity    081437105     748,243      23,875 SH     Sole          0            23,525   0      350
Bemis Co Inc                    Equity    081437105     239,751       7,650 SH     Defined       0             7,550   0      100
Berkshire Hathaway Class B      Equity    084670702      30,999         372 SH     Sole          0               372   0        0
Berkshire Hathaway Class B      Equity    084670702      25,832         310 SH     Defined       0               310   0        0
Berkshire Hills Bancorp Inc     Equity    084680107      24,794       1,127 SH     Defined       0             1,127   0        0
Best Buy Inc                    Equity    086516101       4,192         200 SH     Sole          0               200   0        0
BHP Billiton Ltd Sponsored ADR  Equity    088606108     388,535       5,950 SH     Sole          0             5,950   0        0
BHP Billiton Ltd Sponsored ADR  Equity    088606108      84,890       1,300 SH     Defined       0             1,300   0        0
Blackrock Muniholdings NY Insd  Equity    09255C106      59,558       3,835 SH     Sole          0             3,835   0        0
Boeing Co                       Equity    097023105      37,150         500 SH     Sole          0               500   0        0
Boeing Co                       Equity    097023105       5,573          75 SH     Defined       0                75   0        0
Bristol Myers Squibb Co         Equity    110122108     330,740       9,200 SH     Sole          0             9,000   0      200
Bristol Myers Squibb Co         Equity    110122108     434,995      12,100 SH     Defined       0            10,300   0    1,800
Broadridge Financial Solutions  Equity    11133T103       4,254         200 SH     Defined       0               200   0        0
Buckeye Partners LP             Equity    118230101      26,085         500 SH     Defined       0               500   0        0
CH Robinson Worldwide           Equity    12541W209      46,824         800 SH     Sole          0               800   0        0
CH Robinson Worldwide           Equity    12541W209       2,927          50 SH     Defined       0                50   0        0
CME Group Inc                   Equity    12572Q105       6,703          25 SH     Sole          0                25   0        0
CSX Corp                        Equity    126408103       4,472         200 SH     Sole          0               200   0        0
Cardinal Health Inc             Equity    14149Y108       6,300         150 SH     Sole          0               150   0        0
Caterpillar Inc                 Equity    149123101      93,401       1,100 SH     Sole          0             1,100   0        0
Caterpillar Inc                 Equity    149123101      93,401       1,100 SH     Defined       0             1,100   0        0
Cenovus Energy Inc              Equity    15135U109       5,024         158 SH     Sole          0               158   0        0
CenterPoint Energy Inc          Equity    15189T107       2,067         100 SH     Sole          0               100   0        0
Chesapeake Energy Corp          Equity    165167107      21,241       1,142 SH     Sole          0             1,142   0        0
Chevron Corp                    Equity    166764100   2,336,825      22,150 SH     Sole          0            22,100   0       50
Chevron Corp                    Equity    166764100     664,650       6,300 SH     Defined       0             6,250   0       50
Chubb Corp                      Equity    171232101     167,486       2,300 SH     Sole          0             2,300   0        0
Chubb Corp                      Equity    171232101     116,512       1,600 SH     Defined       0             1,600   0        0
Cisco Systems Inc               Equity    17275R102     687,264      40,027 SH     Sole          0            39,727   0      300
Cisco Systems Inc               Equity    17275R102     163,115       9,500 SH     Defined       0             7,400   0    2,100
Citigroup Inc New               Equity    172967424      11,512         420 SH     Sole          0               420   0        0
Citigroup Inc New               Equity    172967424       2,741         100 SH     Defined       0               100   0        0
Coca Cola Co                    Equity    191216100   2,430,458      31,084 SH     Sole          0            30,884   0      200
Coca Cola Co                    Equity    191216100     770,172       9,850 SH     Defined       0             8,850   0    1,000
Colgate Palmolive Co            Equity    194162103     250,048       2,402 SH     Sole          0             2,402   0        0
Colgate Palmolive Co            Equity    194162103     291,480       2,800 SH     Defined       0             2,800   0        0
Comcast Corp New Cl A           Equity    20030N101      27,175         850 SH     Sole          0               850   0        0
Community Bank System Inc       Equity    203607106   1,289,583      47,551 SH     Sole          0            47,551   0        0
Community Bank System Inc       Equity    203607106  33,954,403   1,252,006 SH     Defined       0         1,228,298   0   23,708
ConAgra Foods Inc               Equity    205887102       2,593         100 SH     Defined       0               100   0        0
ConocoPhillips Co               Equity    20825C104   1,005,281      17,990 SH     Sole          0            17,890   0      100
ConocoPhillips Co               Equity    20825C104     243,078       4,350 SH     Defined       0             4,350   0        0
Consolidated Edison Inc         Equity    209115104     202,118       3,250 SH     Sole          0             3,250   0        0
Corning Inc                     Equity    219350105       9,439         730 SH     Sole          0               730   0        0
Corning Inc                     Equity    219350105      12,930       1,000 SH     Defined       0             1,000   0        0
Cubist Pharmaceuticals Inc      Equity    229678107       7,582         200 SH     Defined       0               200   0        0
Darden Restaurants Inc          Equity    237194105      25,315         500 SH     Defined       0               500   0        0
Dean Foods                      Equity    242370104       8,515         500 SH     Defined       0               500   0        0
Deere & Co                      Equity    244199105       8,087         100 SH     Sole          0               100   0        0
Delhi Bank Corp                 Equity    246694103      72,800       2,800 SH     Sole          0             2,800   0        0
Dell Inc                        Equity    24702R101       6,255         500 SH     Sole          0               500   0        0
Dell Inc                        Equity    24702R101       1,251         100 SH     Defined       0               100   0        0
Devon Energy Corp New           Equity    25179M103     179,769       3,100 SH     Sole          0             3,100   0        0
Devon Energy Corp New           Equity    25179M103      86,985       1,500 SH     Defined       0             1,500   0        0
Discovery Laboratories Inc New  Equity    254668403          46          20 SH     Sole          0                20   0        0
Disney (Walt) Co                Equity    254687106     287,702       5,932 SH     Sole          0             5,832   0      100
Disney (Walt) Co                Equity    254687106      19,400         400 SH     Defined       0               400   0        0
Dominion Resources New          Equity    25746U109   1,757,700      32,550 SH     Sole          0            32,450   0      100
Dominion Resources New          Equity    25746U109     739,800      13,700 SH     Defined       0            12,700   0    1,000
Dow Chemical Co                 Equity    260543103     582,750      18,500 SH     Sole          0            18,400   0      100
Dow Chemical Co                 Equity    260543103      81,900       2,600 SH     Defined       0             2,600   0        0
Du Pont de Nemours EI Co        Equity    263534109      15,171         300 SH     Sole          0               300   0        0
Duke Energy Corp New            Equity    26441C105      50,732       2,200 SH     Sole          0             2,200   0        0
Duke Energy Corp New            Equity    26441C105      39,202       1,700 SH     Defined       0             1,700   0        0
EMC Corp                        Equity    268648102       2,563         100 SH     Sole          0               100   0        0
EOG Resources Inc               Equity    26875P101     211,759       2,350 SH     Sole          0             2,350   0        0
EOG Resources Inc               Equity    26875P101      22,528         250 SH     Defined       0               250   0        0
Eaton Corp                      Equity    278058102      47,556       1,200 SH     Sole          0             1,200   0        0
Eldorado Gold Corp New          Equity    284902103       5,569         452 SH     Defined       0               452   0        0
Emerson Elec Co                 Equity    291011104     430,073       9,233 SH     Sole          0             9,233   0        0
Emerson Elec Co                 Equity    291011104      46,580       1,000 SH     Defined       0             1,000   0        0
Encana Corp                     Equity    292505104       2,666         128 SH     Sole          0               128   0        0
Enbridge Energy Partners LP     Equity    29250R106       6,154         200 SH     Defined       0               200   0        0
Energen Corp                    Equity    29265N108       4,332          96 SH     Sole          0                96   0        0
Entergy Corp                    Equity    29364G103       1,833          27 SH     Sole          0                27   0        0
Enterprise Prods Partners       Equity    293792107      53,700       1,048 SH     Sole          0             1,048   0        0
Enterprise Prods Partners       Equity    293792107      10,248         200 SH     Defined       0               200   0        0
Equity Residential              Equity    29476L107      37,416         600 SH     Sole          0               600   0        0
Exelon Corp                     Equity    30161N101   1,210,386      32,174 SH     Sole          0            31,974   0      200
Exelon Corp                     Equity    30161N101     361,152       9,600 SH     Defined       0             8,500   0    1,100
Express Scripts Hldng Co        Equity    30219G108       9,044         162 SH     Sole          0               162   0        0
Exxon Mobil Corp                Equity    30231G102   4,540,087      53,057 SH     Sole          0            52,907   0      150
Exxon Mobil Corp                Equity    30231G102   1,297,241      15,160 SH     Defined       0            13,710   0    1,450
Facebook Inc                    Equity    30303M102       6,841         220 SH     Sole          0               220   0        0
Facebook Inc                    Equity    30303M102       1,555          50 SH     Defined       0                50   0        0
Fastenal Co                     Equity    311900104     257,984       6,400 SH     Sole          0             6,400   0        0
Fastenal Co                     Equity    311900104     120,930       3,000 SH     Defined       0             3,000   0        0
FedEx Corp                      Equity    31428X106       9,161         100 SH     Sole          0               100   0        0
Fiserv Inc                      Equity    337738108      36,110         500 SH     Sole          0               400   0      100
Ford Motor Co                   Equity    345370860       7,576         790 SH     Sole          0               790   0        0
France Telecom ADR              Equity    35177Q105      13,110       1,000 SH     Defined       0             1,000   0        0
Franco Nevada Corp              Equity    351858105       5,966         132 SH     Defined       0               132   0        0
Freeport McMoran C&G Inc        Equity    35671D857     170,350       5,000 SH     Defined       0             5,000   0        0
Frontier Communications         Equity    35906A108         184          48 SH     Sole          0                48   0        0
Frontier Communications         Equity    35906A108         460         120 SH     Defined       0               120   0        0
General Dynamics Corp           Equity    369550108      79,152       1,200 SH     Sole          0             1,200   0        0
General Electric Co             Equity    369604103   2,055,637      98,639 SH     Sole          0            97,689   0      950
General Electric Co             Equity    369604103     802,340      38,500 SH     Defined       0            37,300   0    1,200
General Mills Inc               Equity    370334104     877,864      22,778 SH     Sole          0            22,778   0        0
General Mills Inc               Equity    370334104     366,130       9,500 SH     Defined       0             9,500   0        0
General Motors Co               Equity    37045V100       3,195         162 SH     Defined       0               162   0        0
General Motors Co Wts Exp 07/1  Equity    37045V118       1,609         146 SH     Defined       0               146   0        0
General Motors Co Wts Exp 07/1  Equity    37045V126         990         146 SH     Defined       0               146   0        0
Genuine Parts Co                Equity    372460105       1,747          29 SH     Sole          0                29   0        0
Glaxo SmithKline PLC ADR        Equity    37733W105      31,899         700 SH     Sole          0               700   0        0
Global High Income Dollar Fund  Equity    37933G108       6,140         500 SH     Sole          0               500   0        0
Gold Resource Corp              Equity    38068T105       6,783         261 SH     Defined       0               261   0        0
Goldcorp Inc                    Equity    380956409       4,096         109 SH     Defined       0               109   0        0
Golden Queen Mining Co Ltd      Equity    38115J100       2,960       1,558 SH     Defined       0             1,558   0        0
Halliburton Co                  Equity    406216101      28,390       1,000 SH     Sole          0             1,000   0        0
Hanger Orthopedic Group Inc     Equity    41043F208       5,128         200 SH     Sole          0               200   0        0
Harley Davidson Inc             Equity    412822108       9,146         200 SH     Sole          0               200   0        0
Harley Davidson Inc             Equity    412822108      45,730       1,000 SH     Defined       0             1,000   0        0
Heinz H J Co                    Equity    423074103      16,314         300 SH     Sole          0               300   0        0
The Hershey Co                  Equity    427866108     108,045       1,500 SH     Sole          0             1,500   0        0
The Hershey Co                  Equity    427866108      72,030       1,000 SH     Defined       0             1,000   0        0
Hewlett Packard Co              Equity    428236103      42,694       2,123 SH     Sole          0             2,023   0      100
Hewlett Packard Co              Equity    428236103      20,110       1,000 SH     Defined       0             1,000   0        0
Home Depot Inc                  Equity    437076102      16,427         310 SH     Sole          0               310   0        0
Honeywell Int'l Inc             Equity    438516106      44,672         800 SH     Sole          0               800   0        0
ICAD Inc                        Equity    44934S107       4,600      10,000 SH     Sole          0            10,000   0        0
Illinois Tool Works Inc         Equity    452308109   1,003,588      18,975 SH     Sole          0            18,900   0       75
Illinois Tool Works Inc         Equity    452308109     268,417       5,075 SH     Defined       0             4,575   0      500
Inergy LP                       Equity    456615103       1,862         100 SH     Defined       0               100   0        0
Integrated Device Tech Inc Com  Equity    458118106       1,124         200 SH     Defined       0               200   0        0
Intel Corp                      Equity    458140100   1,298,521      48,725 SH     Sole          0            48,275   0      450
Intel Corp                      Equity    458140100     298,480      11,200 SH     Defined       0             9,000   0    2,200
Intl Business Machines Corp     Equity    459200101   4,260,124      21,782 SH     Sole          0            21,682   0      100
Intl Business Machines Corp     Equity    459200101  17,770,203      90,859 SH     Defined       0            90,109   0      750
Intl Flavors & Fragrances Inc   Equity    459506101     224,680       4,100 SH     Sole          0             4,100   0        0
iShares MSCI Canada             Equity    464286509       7,752         300 SH     Sole          0               300   0        0
iShares MSCI Canada             Equity    464286509       5,168         200 SH     Defined       0               200   0        0
iShares MSCI S Africa           Equity    464286780      12,780         200 SH     Sole          0               200   0        0
iShares TR MSCI Emerging Marke  Equity    464287234       3,914         100 SH     Sole          0               100   0        0
iShares Barclays 1-3 Yr ETF     Equity    464287457      25,311         300 SH     Sole          0               300   0        0
iShares TR MSCI EAFE Index Fun  Equity    464287465       4,996         100 SH     Sole          0               100   0        0
iShares Russell MidCap Value F  Equity    464287473   1,237,902      26,725 SH     Sole          0            26,525   0      200
iShares Russell MidCap Value F  Equity    464287473     210,756       4,550 SH     Defined       0             4,550   0        0
iShares TR Cohen & Steers Real  Equity    464287564       8,650         110 SH     Sole          0               110   0        0
iShares Barclays 1-3 Yr ETF Bo  Equity    464288646      12,356         118 SH     Sole          0               118   0        0
iShares Silver Trust            Equity    46428Q109      79,950       3,000 SH     Sole          0             3,000   0        0
iShares Silver Trust            Equity    46428Q109      49,889       1,872 SH     Defined       0             1,872   0        0
JP Morgan Chase & Co            Equity    46625H100     925,407      25,900 SH     Sole          0            25,900   0        0
JP Morgan Chase & Co            Equity    46625H100     117,909       3,300 SH     Defined       0             1,700   0    1,600
Jeffersonville Bancorp          Equity    47559A103      66,190       6,215 SH     Sole          0             6,215   0        0
Johnson & Johnson               Equity    478160104   3,075,804      45,527 SH     Sole          0            45,452   0       75
Johnson & Johnson               Equity    478160104     901,250      13,340 SH     Defined       0            13,240   0      100
Johnson Controls Inc            Equity    478366107     257,703       9,300 SH     Sole          0             9,300   0        0
Johnson Controls Inc            Equity    478366107      60,962       2,200 SH     Defined       0             1,200   0    1,000
Keycorp                         Equity    493267108      54,954       7,100 SH     Sole          0             7,100   0        0
Keycorp                         Equity    493267108      12,384       1,600 SH     Defined       0             1,600   0        0
Kimberly Clark Corp             Equity    494368103   1,011,523      12,075 SH     Sole          0            12,075   0        0
Kimberly Clark Corp             Equity    494368103     393,719       4,700 SH     Defined       0             4,600   0      100
Kinder Morgan Energy Partners   Equity    494550106      15,716         200 SH     Sole          0               200   0        0
Kinder Morgan Energy Partners   Equity    494550106       7,858         100 SH     Defined       0               100   0        0
Kraft Foods Inc                 Equity    50075N104       5,330         138 SH     Sole          0               138   0        0
Kraft Foods Inc                 Equity    50075N104       3,862         100 SH     Defined       0               100   0        0
Legg Mason Inc                  Equity    524901105      52,740       2,000 SH     Sole          0             2,000   0        0
Lilly Eli & Co                  Equity    532457108     488,101      11,375 SH     Sole          0            11,275   0      100
Lilly Eli & Co                  Equity    532457108      70,802       1,650 SH     Defined       0             1,650   0        0
Lorillard Inc                   Equity    544147101      13,195         100 SH     Sole          0               100   0        0
M & T Bank Corp                 Equity    55261F104      63,249         766 SH     Sole          0               766   0        0
M & T Bank Corp                 Equity    55261F104     825,700      10,000 SH     Defined       0            10,000   0        0
Mack Cali Realty Corp           Equity    554489104      11,628         400 SH     Sole          0               400   0        0
Marathon Oil Corp               Equity    565849106       5,114         200 SH     Sole          0               200   0        0
Marathon Petro Corp             Equity    56585A102       4,492         100 SH     Sole          0               100   0        0
MFC Market Vectors Agri Busine  Equity    57060U605       4,958         100 SH     Sole          0               100   0        0
McDonalds Corp                  Equity    580135101      97,029       1,096 SH     Sole          0             1,096   0        0
McDonalds Corp                  Equity    580135101     398,385       4,500 SH     Defined       0             3,500   0    1,000
McGraw Hill Inc                 Equity    580645109       9,000         200 SH     Defined       0               200   0        0
McKesson Corp                   Equity    58155Q103     117,188       1,250 SH     Sole          0             1,250   0        0
McKesson Corp                   Equity    58155Q103     215,625       2,300 SH     Defined       0             2,300   0        0
Medical Properties Trust Inc    Equity    58463J304       9,620       1,000 SH     Defined       0             1,000   0        0
Medtronic Inc                   Equity    585055106      79,397       2,050 SH     Sole          0             2,050   0        0
Medtronic Inc                   Equity    585055106       3,873         100 SH     Defined       0               100   0        0
Merchants Bancshares Inc        Equity    588448100     130,863       4,750 SH     Sole          0             4,750   0        0
Merchants Bancshares Inc        Equity    588448100      82,650       3,000 SH     Defined       0             3,000   0        0
Merck & Co Inc New              Equity    58933Y105   1,381,090      33,080 SH     Sole          0            32,780   0      300
Merck & Co Inc New              Equity    58933Y105     421,759      10,102 SH     Defined       0             8,902   0    1,200
MetLife Inc                     Equity    59156R108      13,883         450 SH     Sole          0               450   0        0
MetLife Inc                     Equity    59156R108      27,765         900 SH     Defined       0               100   0      800
Microsoft Corp                  Equity    594918104     843,886      27,587 SH     Sole          0            27,587   0        0
Microsoft Corp                  Equity    594918104     240,896       7,875 SH     Defined       0             6,875   0    1,000
Monsanto Co                     Equity    61166W101     480,124       5,800 SH     Sole          0             5,800   0        0
Monsanto Co                     Equity    61166W101      74,668         902 SH     Defined       0               902   0        0
Morgan Stanley                  Equity    617446448       9,921         680 SH     Sole          0               680   0        0
The Mosaic Company              Equity    61945C103       1,259          23 SH     Sole          0                23   0        0
NBT Bancorp Inc                 Equity    628778102     114,535       5,305 SH     Sole          0             5,305   0        0
NBT Bancorp Inc                 Equity    628778102     278,641      12,906 SH     Defined       0             2,906   0   10,000
Namic Insurance Co Inc B        Equity    62989*105       6,611          30 SH     Sole          0                30   0        0
National Bank of Greece ADR     Equity    633643606         342         200 SH     Sole          0               200   0        0
National Fuel Gas Co            Equity    636180101      46,980       1,000 SH     Defined       0             1,000   0        0
National Grid Transco PLC Spon  Equity    636274300       6,412         121 SH     Sole          0               121   0        0
National Grid Transco PLC Spon  Equity    636274300       5,299         100 SH     Defined       0               100   0        0
Natural Resources Partners LP   Equity    63900P103       8,868         400 SH     Defined       0               400   0        0
Nestle ADR                      Equity    641069406      11,949         200 SH     Defined       0               200   0        0
Nevada Gold & Casinos Inc       Equity    64126Q206       1,150       1,000 SH     Defined       0             1,000   0        0
New Gold Inc                    Equity    644535106       4,275         450 SH     Defined       0               450   0        0
New York Community Bancorp      Equity    649445103       1,253         100 SH     Sole          0               100   0        0
Newell Rubbermaid Inc           Equity    651229106       1,814         100 SH     Defined       0               100   0        0
Nextera Energy Inc              Equity    65339F101     774,113      11,250 SH     Sole          0            11,150   0      100
Nextera Energy Inc              Equity    65339F101     344,050       5,000 SH     Defined       0             5,000   0        0
Nike Inc Class B                Equity    654106103     140,448       1,600 SH     Sole          0             1,600   0        0
Nike Inc Class B                Equity    654106103      35,112         400 SH     Defined       0               400   0        0
Norfolk Southern Corp           Equity    655844108     531,098       7,400 SH     Sole          0             7,400   0        0
Norfolk Southern Corp           Equity    655844108      68,182         950 SH     Defined       0               950   0        0
North European Oil Royalty Tru  Equity    659310106      11,252         400 SH     Sole          0               400   0        0
Northeast Utilities Co          Equity    664397106      21,384         551 SH     Sole          0               551   0        0
Northrop Grumman Corp           Equity    666807102      51,032         800 SH     Sole          0               800   0        0
Novartis Ag ADR                 Equity    66987V109   1,704,950      30,500 SH     Sole          0            30,400   0      100
Novartis Ag ADR                 Equity    66987V109     434,623       7,775 SH     Defined       0             7,775   0        0
Nucor Corp                      Equity    670346105     728,628      19,225 SH     Sole          0            19,125   0      100
Nucor Corp                      Equity    670346105     140,230       3,700 SH     Defined       0             3,700   0        0
Nuveen NY Municipal Value Fd    Equity    67062M105      60,449       5,886 SH     Sole          0             5,886   0        0
Nuveen NY Municipal Value Fd    Equity    67062M105       5,135         500 SH     Defined       0               500   0        0
OGE Energy Corp                 Equity    670837103     207,160       4,000 SH     Sole          0             4,000   0        0
OGE Energy Corp                 Equity    670837103      51,790       1,000 SH     Defined       0             1,000   0        0
Occidental Petroleum Corp       Equity    674599105      60,039         700 SH     Sole          0               700   0        0
Olin Corp                       Equity    680665205      10,445         500 SH     Sole          0               500   0        0
Oneok Partners LP               Equity    68268N103      21,500         400 SH     Sole          0               400   0        0
Oracle Corp                     Equity    68389X105     174,636       5,880 SH     Sole          0             5,880   0        0
Oracle Corp                     Equity    68389X105      29,700       1,000 SH     Defined       0             1,000   0        0
Parker Hannifin Corp            Equity    701094104      19,220         250 SH     Sole          0               250   0        0
Parker Hannifin Corp            Equity    701094104      11,532         150 SH     Defined       0               150   0        0
Peabody Energy Corp             Equity    704549104       7,356         300 SH     Sole          0               300   0        0
PEPCO Holdings Inc              Equity    713291102       3,914         200 SH     Defined       0               200   0        0
PepsiCo Inc                     Equity    713448108   2,345,912      33,200 SH     Sole          0            33,100   0      100
PepsiCo Inc                     Equity    713448108     644,773       9,125 SH     Defined       0             9,025   0      100
Permian Basin Royalty Tr        Equity    714236106       3,548         200 SH     Sole          0               200   0        0
Pfizer Inc                      Equity    717081103   1,438,535      62,545 SH     Sole          0            61,945   0      600
Pfizer Inc                      Equity    717081103     156,032       6,784 SH     Defined       0             6,584   0      200
Philip Morris International In  Equity    718172109      17,452         200 SH     Sole          0               200   0        0
Philip Morris International In  Equity    718172109      17,452         200 SH     Defined       0               200   0        0
Phillips 66                     Equity    718546104     295,670       8,895 SH     Sole          0             8,845   0       50
Phillips 66                     Equity    718546104      68,973       2,075 SH     Defined       0             2,075   0        0
Pitney Bowes Inc                Equity    724479100      53,892       3,600 SH     Sole          0             3,600   0        0
Pitney Bowes Inc                Equity    724479100       1,497         100 SH     Defined       0               100   0        0
Plains All American Pipeline,   Equity    726503105      24,243         300 SH     Defined       0               300   0        0
Plug Power Inc New              Equity    72919P202           3           3 SH     Sole          0                 3   0        0
Potash Corp Sask Inc            Equity    73755L107     791,881      18,125 SH     Sole          0            17,925   0      200
Potash Corp Sask Inc            Equity    73755L107     172,576       3,950 SH     Defined       0             3,450   0      500
Powershares Financial Preferre  Equity    73935X229       9,000         500 SH     Sole          0               500   0        0
Principal Financial Group Inc   Equity    74251V102      11,672         445 SH     Sole          0               445   0        0
Procter & Gamble Co             Equity    742718109   2,885,365      47,108 SH     Sole          0            47,008   0      100
Procter & Gamble Co             Equity    742718109     682,938      11,150 SH     Defined       0             9,050   0    2,100
Progress Energy Inc             Equity    743263105      70,459       1,171 SH     Sole          0             1,171   0        0
Progress Energy Inc             Equity    743263105      30,085         500 SH     Defined       0               500   0        0
Prudential Financial Inc        Equity    744320102       9,056         187 SH     Sole          0               187   0        0
Public Service Enterprise       Equity    744573106   1,027,000      31,600 SH     Sole          0            31,500   0      100
Public Service Enterprise       Equity    744573106     451,750      13,900 SH     Defined       0            12,700   0    1,200
Qualcomm Inc                    Equity    747525103      94,656       1,700 SH     Sole          0             1,700   0        0
Reynolds American Inc           Equity    761713106      11,218         250 SH     Defined       0               250   0        0
Rio Tinto PLC ADR               Equity    767204100     191,240       4,000 SH     Defined       0             4,000   0        0
Rockwell Automation Inc         Equity    773903109      33,030         500 SH     Sole          0               500   0        0
Royal Bank of Canada            Equity    780087102      51,220       1,000 SH     Defined       0             1,000   0        0
Royal Dutch Shell PLC A ADR     Equity    780259206     148,346       2,200 SH     Sole          0             2,200   0        0
Royal Dutch Shell PLC A ADR     Equity    780259206      26,972         400 SH     Defined       0               400   0        0
Rubicon Minerals Corp           Equity    780911103       3,733       1,228 SH     Defined       0             1,228   0        0
SPDR Gold Trust                 Equity    78463V107      47,023         303 SH     Sole          0               303   0        0
SPDR S&P 400 Midcap ETF Tr      Equity    78467Y107      17,130         100 SH     Sole          0               100   0        0
Sabine Royalty Trust            Equity    785688102      10,024         200 SH     Sole          0               200   0        0
Sapient Corp                    Equity    803062108       1,037         103 SH     Sole          0               103   0        0
Sara Lee Corp                   Equity    803111103      27,685         955 SH     Sole          0               955   0        0
Scana Corp New                  Equity    80589M102      28,704         600 SH     Sole          0               400   0      200
Schlumberger Ltd                Equity    806857108      32,455         500 SH     Sole          0               500   0        0
MFC Select Sector               Equity    81369Y100       3,529         100 SH     Sole          0               100   0        0
Sempra Energy Inc               Equity    816851109   1,616,269      23,465 SH     Sole          0            23,365   0      100
Sempra Energy Inc               Equity    816851109     291,018       4,225 SH     Defined       0             4,225   0        0
Silver Wheaton Corp             Equity    828336107      14,494         540 SH     Defined       0               540   0        0
Sonoco Products Co              Equity    835495102      54,270       1,800 SH     Sole          0             1,800   0        0
Southern Co                     Equity    842587107      41,670         900 SH     Sole          0               900   0        0
Southern Co                     Equity    842587107       9,260         200 SH     Defined       0               200   0        0
Spectra Energy Corp             Equity    847560109       1,453          50 SH     Sole          0                50   0        0
Spectra Energy Corp             Equity    847560109       2,906         100 SH     Defined       0               100   0        0
Sprint Nextel Corp              Equity    852061100         326         100 SH     Sole          0               100   0        0
Stanley Black & Decker Inc      Equity    854502101     695,088      10,800 SH     Sole          0            10,800   0        0
Stanley Black & Decker Inc      Equity    854502101     167,336       2,600 SH     Defined       0             2,600   0        0
Stryker Corp                    Equity    863667101      71,630       1,300 SH     Sole          0             1,300   0        0
Suncor Energy Inc New           Equity    867224107      28,950       1,000 SH     Sole          0             1,000   0        0
Sysco Corp                      Equity    871829107     773,570      25,950 SH     Sole          0            25,750   0      200
Sysco Corp                      Equity    871829107     315,986      10,600 SH     Defined       0            10,600   0        0
Target Corp                     Equity    87612E106     325,864       5,600 SH     Sole          0             5,500   0      100
Target Corp                     Equity    87612E106      34,914         600 SH     Defined       0               600   0        0
Telefonica SA ADR               Equity    879382208       4,035         308 SH     Defined       0               308   0        0
Teva Pharmaceutical Industries  Equity    881624209       7,888         200 SH     Defined       0               200   0        0
Texas Instruments Inc           Equity    882508104     299,811      10,450 SH     Sole          0            10,350   0      100
Texas Instruments Inc           Equity    882508104      31,559       1,100 SH     Defined       0             1,100   0        0
Thermo Fisher Corp              Equity    883556102      15,573         300 SH     Sole          0               300   0        0
3M Company                      Equity    88579Y101   3,265,920      36,450 SH     Sole          0            36,250   0      200
3M Company                      Equity    88579Y101     609,280       6,800 SH     Defined       0             6,100   0      700
Thunder Mountain Gold           Equity    886043108         775       5,000 SH     Sole          0             5,000   0        0
Torvec Inc                      Equity    891479107       1,860       2,000 SH     Sole          0             2,000   0        0
Total SA                        Equity    89151E109      80,910       1,800 SH     Defined       0             1,800   0        0
Toyota Motors ADR               Equity    892331307      16,096         200 SH     Defined       0               200   0        0
US Bancorp Del                  Equity    902973304      77,184       2,400 SH     Sole          0             2,400   0        0
US Bancorp Del                  Equity    902973304      64,320       2,000 SH     Defined       0             2,000   0        0
Unilever ADR                    Equity    904767704       3,373         100 SH     Defined       0                 0   0      100
Unilever NV NY New              Equity    904784709      16,675         500 SH     Sole          0               500   0        0
United Parcel Svc Inc Cl B      Equity    911312106   1,114,454      14,150 SH     Sole          0            14,150   0        0
United Parcel Svc Inc Cl B      Equity    911312106     293,381       3,725 SH     Defined       0             3,725   0        0
United Technologies Corp        Equity    913017109   1,631,448      21,600 SH     Sole          0            21,600   0        0
United Technologies Corp        Equity    913017109     339,885       4,500 SH     Defined       0             4,500   0        0
United Health Group Inc         Equity    91324P102     684,450      11,700 SH     Sole          0            11,700   0        0
United Health Group Inc         Equity    91324P102      58,500       1,000 SH     Defined       0             1,000   0        0
Valeant Pharmaceuticals Intern  Equity    91911K102       6,181         138 SH     Sole          0               138   0        0
Valero Energy Corp              Equity    91913Y100      14,490         600 SH     Sole          0               600   0        0
Vanguard Short-Term Bond ETF    Equity    921937827   1,614,487      19,900 SH     Sole          0            19,800   0      100
Vanguard Short-Term Bond ETF    Equity    921937827     324,520       4,000 SH     Defined       0             3,500   0      500
Vanguard Consumer Staples ETF   Equity    92204A207      44,105         500 SH     Sole          0               500   0        0
Verizon Communications Co       Equity    92343V104   2,246,442      50,550 SH     Sole          0            50,000   0      550
Verizon Communications Co       Equity    92343V104     663,711      14,935 SH     Defined       0            14,935   0        0
Viacom Inc New Cl B             Equity    92553P201      11,755         250 SH     Sole          0               250   0        0
Vodafone Group PLC New ADR      Equity    92857W209       8,369         297 SH     Defined       0               297   0        0
WGL Holdings Inc                Equity    92924F106      15,900         400 SH     Sole          0               400   0        0
Wal-Mart Stores Inc             Equity    931142103   1,453,662      20,850 SH     Sole          0            20,850   0        0
Wal-Mart Stores Inc             Equity    931142103     414,834       5,950 SH     Defined       0             5,950   0        0
Walgreen Co                     Equity    931422109     174,522       5,900 SH     Sole          0             5,900   0        0
Walgreen Co                     Equity    931422109       5,916         200 SH     Defined       0               200   0        0
Washington Real Est Inv Tr      Equity    939653101      11,380         400 SH     Sole          0               400   0        0
Waste Mgmt Inc                  Equity    94106L109       3,340         100 SH     Sole          0               100   0        0
Wellpoint Inc                   Equity    94973V107     301,089       4,720 SH     Sole          0             4,620   0      100
Wellpoint Inc                   Equity    94973V107      19,137         300 SH     Defined       0               300   0        0
Wells Fargo & Co                Equity    949746101     541,059      16,180 SH     Sole          0            16,180   0        0
Wells Fargo & Co                Equity    949746101      60,192       1,800 SH     Defined       0             1,800   0        0
Williams Cos                    Equity    969457100       5,764         200 SH     Sole          0               200   0        0
Wisconsin Energy Corp           Equity    976657106     130,581       3,300 SH     Sole          0             3,300   0        0
WPX Energy Inc                  Equity    98212B103       1,618         100 SH     Sole          0               100   0        0
Yamana Gold Inc                 Equity    98462Y100       6,160         400 SH     Defined       0               400   0        0
Yum Brands Inc                  Equity    988498101       6,442         100 SH     Defined       0               100   0        0
Zimmer Holdings Inc             Equity    98956P102      12,872         200 SH     Sole          0               200   0        0
Ingersoll-Rand PLC              Equity    G47791101      20,668         490 SH     Sole          0               490   0        0
Ace Ltd                         Equity    H0023R105      14,826         200 SH     Sole          0               200   0        0
Noble Corp                      Equity    H5833N103     705,901      21,700 SH     Sole          0            21,500   0      200
Noble Corp                      Equity    H5833N103     247,228       7,600 SH     Defined       0             6,600   0    1,000
Transocean Switz Inc            Equity    H8817H100       3,086          69 SH     Sole          0                69   0        0
Global Environmental Energy Co  Equity    P47725109           1         150 SH     Sole          0               150   0        0

Wilber - Wilber National Bank   Page -1 of 1






COOPER INDUSTRIES PLC           SHS                 G24140108      7      100  SH  DEFINED                       100   0        0
INGERSOLL-RAND PLC              SHS                 G47791101     56     1320  SH  DEFINED                      1320   0        0
JAZZ PHARMACEUTICALS PLC        SHS USD             G50871105      5      100  SH  DEFINED                       100   0        0
TRANSOCEAN LTD                  REG SHS             H8817H100     32      726  SH  SOLE                          726   0        0
ROYAL CARIBBEAN CRUISES LTD     COM                 V7780T103      3      100  SH  SOLE                          100   0        0
AGL RES INC                     COM                   1204106      8      200  SH  SOLE                          200   0        0
AES CORP                        COM                 00130H105     11      833  SH  DEFINED                       833   0        0
ALPS ETF TR                     ALERIAN MLP         00162Q866   2542   159056  SH  SOLE                       155203   0     3853
AT&T INC                        COM                 00206R102   1630    45731  SH  SOLE                        45731   0        0
AT&T INC                        COM                 00206R102    279     7838  SH  DEFINED                      7838   0        0
ABBOTT LABS                     COM                   2824100    402     6229  SH  SOLE                         6229   0        0
AIR PRODS & CHEMS INC           COM                   9158106    400     4950  SH  SOLE                         4950   0        0
ALCOA INC                       COM                  13817101     39     4480  SH  SOLE                         4480   0        0
ALLIANT ENERGY CORP             COM                  18802108     44      958  SH  SOLE                          958   0        0
ALTRIA GROUP INC                COM                 02209S103     17      500  SH  SOLE                          500   0        0
ALTRIA GROUP INC                COM                 02209S103     41     1200  SH  DEFINED                      1200   0        0
AMERICAN ELEC PWR INC           COM                  25537101    190     4770  SH  SOLE                         4770   0        0
AMERICAN ELEC PWR INC           COM                  25537101     56     1397  SH  DEFINED                      1397   0        0
AMERICAN EXPRESS CO             COM                  25816109     15      250  SH  SOLE                          250   0        0
AMGEN INC                       COM                  31162100    142     1950  SH  SOLE                         1950   0        0
AMGEN INC                       COM                  31162100     73     1000  SH  DEFINED                      1000   0        0
ANALOG DEVICES INC              COM                  32654105     28      750  SH  SOLE                          750   0        0
APACHE CORP                     COM                  37411105     39      440  SH  SOLE                          440   0        0
APPLE INC                       COM                  37833100   7399    12669  SH  SOLE                         1994   0    10675
APPLIED MATLS INC               COM                  38222105     23     2000  SH  SOLE                         2000   0        0
AQUA AMERICA INC                COM                 03836W103     25     1000  SH  SOLE                         1000   0        0
AUTOMATIC DATA PROCESSING IN    COM                  53015103    584    10500  SH  SOLE                        10473   0       27
AUTOMATIC DATA PROCESSING IN    COM                  53015103     28      495  SH  DEFINED                       495   0        0
BP PLC                          SPONSORED ADR       55622104      57     1400  SH  SOLE                         1400   0        0
BAKER HUGHES INC                COM                 57224107      64     1550  SH  SOLE                         1400   0      150
BANK OF AMERICA CORPORATION     COM                 60505104      63     7750  SH  SOLE                         7750   0        0
BANK OF NEW YORK MELLON CORP    COM                 64058100     611    27839  SH  SOLE                        27839   0        0
BARCLAYS BANK PLC               SP ADR 7.1%PF3      06739H776    362    14600  SH  SOLE                        14600   0        0
BARCLAYS BANK PLC               SP ADR 7.1%PF3      06739H776     42     1700  SH  DEFINED                      1700   0        0
BARRICK GOLD CORP               COM                 67901108      14      375  SH  SOLE                            0   0      375
BAXTER INTL INC                 COM                 71813109     175     3300  SH  SOLE                         3300   0        0
BECTON DICKINSON & CO           COM                 75887109     127     1700  SH  SOLE                         1700   0        0
BECTON DICKINSON & CO           COM                 75887109       6       75  SH  DEFINED                        75   0        0
BERKSHIRE HATHAWAY INC DEL      CL B NEW            84670702      31      371  SH  SOLE                          371   0        0
BEST BUY INC                    COM                 86516101       5      225  SH  SOLE                          225   0        0
BLACKSTONE GROUP L P            COM UNIT LTD        09253U108      3      234  SH  SOLE                          234   0        0
BOEING CO                       COM                  97023105    234     3150  SH  SOLE                         3150   0        0
BOEING CO                       COM                  97023105     37      500  SH  DEFINED                       500   0        0
BRISTOL MYERS SQUIBB CO         COM                 110122108    547    15215  SH  SOLE                        15173   0       42
BRISTOL MYERS SQUIBB CO         COM                 110122108     57     1595  SH  DEFINED                      1595   0        0
BUCKEYE PARTNERS L P            UNIT LTD PARTN      118230101      6      115  SH  SOLE                          115   0        0
CIT GROUP INC                   COM NEW             125581801      7      204  SH  SOLE                          204   0        0
CVS CAREMARK/CORP               COM                 126650100    257     5500  SH  SOLE                         5500   0        0
CATERPILLAR INC DEL             COM                 149123101    179     2108  SH  SOLE                         2108   0        0
CENTERPOINT ENERGY INC          COM                 15189T107     21     1000  SH  SOLE                         1000   0        0
CENTURYTEL INC                  COM                 156700106     42     1059  SH  SOLE                         1059   0        0
CHEVRON CORP                    COM                 166764100    343     3247  SH  SOLE                         3233   0       14
CHEVRON CORP                    COM                 166764100     61      577  SH  DEFINED                       577   0        0
CHUBB CORP                      COM                 171232101    348     4775  SH  SOLE                         4775   0        0
CIENA CORP                      COM NEW             171779309     23     1429  SH  SOLE                            0   0     1429
CISCO SYS INC                   COM                 17275R102    198    11550  SH  SOLE                        11550   0        0
CITIZENS & NORTHN CORP          COM                 172922106    183     9597  SH  SOLE                         9597   0        0
CITIGROUP INC                   COM                 172967424      9      340  SH  SOLE                          340   0        0
COCA COLA CO                    COM                 191216100    729     9330  SH  SOLE                         9312   0       18
COCA COLA CO                    COM                 191216100    280     3583  SH  DEFINED                      3583   0        0
COLGATE PALMOLIVE CO            COM                 194162103    372     3575  SH  SOLE                         3575   0        0
COLGATE PALMOLIVE CO            COM                 194162103    184     1768  SH  DEFINED                      1768   0        0
COMCAST CORP                                        20030N101    159     4969  SH  SOLE                         4969   0        0
COMMUNITY BK SYS INC            COM                 203607106  11035   407059  SH  SOLE                       406059   0     1000
COMMUNITY BK SYS INC            COM                 203607106    958    35320  SH  DEFINED                     35320   0        0
CONOCOPHILLIPS                  COM                 20825C104    164     2933  SH  SOLE                         2906   0       27
CONOCOPHILLIPS                  COM                 20825C104     45      811  SH  DEFINED                       811   0        0
CONSOLIDATED EDISON INC         COM                 209115104    184     2955  SH  SOLE                         2955   0        0
CONSTELLATION BRANDS INC        CL A                21036P108     43     1600  SH  SOLE                         1600   0        0
CONSTELLATION BRANDS INC        CL A                21036P108     77     2846  SH  DEFINED                      2846   0        0
CORNING INC                     COM                 219350105    153    11870  SH  SOLE                        11870   0        0
CORNING INC                     COM                 219350105      3      240  SH  DEFINED                       240   0        0
COVANCE INC                     COM                 222816100      2       48  SH  SOLE                           48   0        0
CUMMINS INC                     COM                 231021106     68      700  SH  SOLE                          700   0        0
CURTISS WRIGHT CORP             COM                 231561101     25      800  SH  SOLE                          800   0        0
DARDEN RESTAURANTS INC          COM                 237194105     51      999  SH  SOLE                          972   0       27
DARDEN RESTAURANTS INC          COM                 237194105     27      535  SH  DEFINED                       535   0        0
DEERE & CO                      COM                 244199105     19      239  SH  SOLE                          239   0        0
DELL INC                                            24702R101      9      750  SH  SOLE                          750   0        0
DISNEY WALT CO                  COM DISNEY          254687106    388     7994  SH  SOLE                         7994   0        0
DOMINION RES INC VA NEW         COM                 25746U109    175     3238  SH  SOLE                         3238   0        0
DOMINION RES INC VA NEW         COM                 25746U109     16      300  SH  DEFINED                       300   0        0
DONNELLEY R R & SONS CO         COM                 257867101      1      100  SH  SOLE                            0   0      100
DOW CHEM CO                     COM                 260543103    190     6019  SH  SOLE                         5974   0       45
DOW CHEM CO                     COM                 260543103     26      837  SH  DEFINED                       837   0        0
DU PONT E I DE NEMOURS & CO     COM                 263534109    373     7369  SH  SOLE                         7340   0       29
DU PONT E I DE NEMOURS & CO     COM                 263534109     37      739  SH  DEFINED                       739   0        0
DUKE ENERGY CORP NEW            COM                 26441C105    143     6198  SH  SOLE                         5798   0      400
E M C CORP MASS                 COM                 268648102    177     6909  SH  SOLE                         6909   0        0
EATON CORP                      COM                 278058102      6      160  SH  DEFINED                       160   0        0
ELMIRA SAVINGS BK ELMIRA N Y    COM                 289660102     59     3083  SH  SOLE                         3083   0        0
EMERSON ELEC CO                 COM                 291011104    548    11760  SH  SOLE                        11760   0        0
ENTERPRISE PRODS PARTNERS L     COM                 293792107      1       29  SH  SOLE                            0   0       29
ENTERPRISE PRODS PARTNERS L     COM                 293792107     10      200  SH  DEFINED                       200   0        0
EXELON CORP                     COM                 30161N101     34      908  SH  SOLE                          908   0        0
EXELON CORP                     COM                 30161N101     30      800  SH  DEFINED                       800   0        0
EXELIS INC                      COM                 30162A108      8      800  SH  DEFINED                       800   0        0
EXPRESS SCRIPTS HLDG CO         COM                 30219G108     10      184  SH  DEFINED                       184   0        0
EXXON MOBIL CORP                COM                 30231G102   2502    29248  SH  SOLE                        29248   0        0
EXXON MOBIL CORP                COM                 30231G102    243     2844  SH  DEFINED                      2844   0        0
FNB CORP PA                     COM                 302520101     38     3454  SH  SOLE                         3454   0        0
FIRSTENERGY CORP                COM                 337932107     76     1541  SH  SOLE                         1511   0       30
FIRSTENERGY CORP                COM                 337932107     29      593  SH  DEFINED                       593   0        0
FORD MTR CO DEL                 COM PAR $0.01       345370860     48     5000  SH  SOLE                         5000   0        0
FORD MTR CO DEL                 COM PAR $0.01       345370860     27     2805  SH  DEFINED                      2805   0        0
FRONTIER COMMUNICATIONS CORP    COM                 35906A108      1      192  SH  SOLE                          192   0        0
FRONTIER COMMUNICATIONS CORP    COM                 35906A108      0      117  SH  DEFINED                       117   0        0
GSV CAP CORP                    COM                 36191J101      3      300  SH  SOLE                          300   0        0
GENERAL DYNAMICS CORP           COM                 369550108     13      200  SH  SOLE                          200   0        0
GENERAL ELEC CO                 COM                 369604103   4432   212663  SH  SOLE                       208563   0     4100
GENERAL ELEC CO                 COM                 369604103    168     8051  SH  DEFINED                      8051   0        0
GENERAL MLS INC                 COM                 370334104    166     4300  SH  SOLE                         4300   0        0
GENERAL MLS INC                 COM                 370334104     74     1920  SH  DEFINED                      1920   0        0
GENUINE PARTS CO                COM                 372460105     27      450  SH  SOLE                          450   0        0
GILEAD SCIENCES INC             COM                 375558103      2       48  SH  SOLE                           48   0        0
GLAXOSMITHKLINE PLC             SPONSORED ADR       37733W105    166     3641  SH  SOLE                         3641   0        0
GLOBAL X FDS                    GLBX URANIUM        37950E754   1143   153175  SH  SOLE                       150175   0     3000
GOLDMAN SACHS GROUP INC         COM                 38141G104     14      150  SH  SOLE                          150   0        0
GOOGLE INC                      CL A                38259P508    132      227  SH  SOLE                          227   0        0
HCP INC                         COM                 40414L109    140     3170  SH  SOLE                         3170   0        0
HCP INC                         COM                 40414L109     29      666  SH  DEFINED                       666   0        0
HSBC HLDGS PLC                  ADR A 1/40PF A      404280604     50     2000  SH  SOLE                         2000   0        0
HARSCO CORP                                         415864107    326    16000  SH  SOLE                        16000   0        0
HARTFORD FINL SVCS GROUP INC    COM                 416515104     25     1400  SH  DEFINED                      1400   0        0
HEINZ H J CO                    COM                 423074103    368     6759  SH  SOLE                         6733   0       26
HEINZ H J CO                    COM                 423074103     27      498  SH  DEFINED                       498   0        0
HEWLETT PACKARD CO              COM                 428236103    151     7507  SH  SOLE                         7507   0        0
HEWLETT PACKARD CO              COM                 428236103      7      360  SH  DEFINED                       360   0        0
HOME DEPOT INC                  COM                 437076102    242     4570  SH  SOLE                         4570   0        0
HONEYWELL INTL INC              COM                 438516106    186     3327  SH  SOLE                         3327   0        0
ITT CORP NEW                    COM NEW             450911201      7      400  SH  DEFINED                       400   0        0
ILLINOIS TOOL WKS INC           COM                 452308109    481     9100  SH  SOLE                         9100   0        0
INERGY L P                      UNIT LTD PTNR       456615103      4      217  SH  SOLE                          217   0        0
INTEL CORP                      COM                 458140100    656    24636  SH  SOLE                        24332   0      304
INTEL CORP                      COM                 458140100    272    10213  SH  DEFINED                     10213   0        0
INTEGRYS ENERGY GROUP INC       COM                 45822P105     42      743  SH  SOLE                          717   0       26
INTEGRYS ENERGY GROUP INC       COM                 45822P105     68     1194  SH  DEFINED                      1194   0        0
INTL BUSINESS MACH              COM                 459200101   2693    13767  SH  SOLE                        13767   0        0
INTL BUSINESS MACH              COM                 459200101    199     1019  SH  DEFINED                      1019   0        0
INTERNATIONAL GAME TECHNOLOG    COM                 459902102     39     2500  SH  SOLE                         2500   0        0
ISHARES SILVER TRUST            ISH ARES            46428Q109     20      750  SH  SOLE                          750   0        0
ISHARES INC                     MSCI AUSTRALIA      464286103    234    10700  SH  SOLE                         2600   0     8100
ISHARES INC                     MSCI BRAZIL         464286400    244     4725  SH  SOLE                         1175   0     3550
ISHARES INC                     MSCI CDA INDEX      464286509   2108    81589  SH  SOLE                        70039   0    11550
ISHARES INC                     MSCI CDA INDEX      464286509    118     4550  SH  DEFINED                      1550   0     3000
ISHARES INC                     MSCI EMU INDEX      464286608   2183    79525  SH  SOLE                        79475   0       50
ISHARES INC                     MSCI THAILAND       464286624    363     5250  SH  SOLE                         1225   0     4025
ISHARES INC                     MSCI PAC J IDX      464286665     31      750  SH  SOLE                          750   0        0
ISHARES INC                     MSCI SINGAPORE      464286673    238    19350  SH  SOLE                         4700   0    14650
ISHARES INC                     MSCI TURKEY FD      464286715    581    11100  SH  SOLE                         2200   0     8900
ISHARES INC                     MSCI TAIWAN         464286731    200    16375  SH  SOLE                         3950   0    12425
ISHARES INC                     MSCI S KOREA        464286772    323     5900  SH  SOLE                         1200   0     4700
ISHARES TR                      DJ SEL DIV INX      464287168   5379    95739  SH  SOLE                        83774   0    11965
ISHARES TR                      DJ SEL DIV INX      464287168    393     7000  SH  DEFINED                      7000   0        0
I SHARES BARCLAYS TIPS BOND FUND                    464287176     51      425  SH  SOLE                          425   0        0
I SHARES BARCLAYS AGGRGT                            464287226   2254    20250  SH  SOLE                        20250   0        0
I SHARES MSCI EMERGING MKTS     IND EX FUND         464287234   1195    30539  SH  SOLE                        12539   0    18000
I SHARES MSCI EMERGING MKTS     IND EX FUND         464287234      4      115  SH  DEFINED                       115   0        0
ISHARES TR                      IBO XX INV CPBD     464287242    291     2473  SH  SOLE                         2388   0       85
ISHARES TR                      IBO XX INV CPBD     464287242    174     1476  SH  DEFINED                      1476   0        0
ISHARES TR                      S&P GBL TELCM       464287275     20      350  SH  SOLE                          350   0        0
ISHARES TR                      S&P GBL HLTHCR      464287325     22      365  SH  SOLE                          365   0        0
ISHARES TR                      S&P LTN AM 40       464287390      4       85  SH  DEFINED                        85   0        0
ISHARES TR                      3-Jan YR TRS BD     464287457    283     3349  SH  SOLE                         3289   0       60
ISHARES TR                      3-Jan YR TRS BD     464287457     29      343  SH  DEFINED                       343   0        0
I SHARES MSCI EAFE                                  464287465  12501   250261  SH  SOLE                       235786   0    14475
I SHARES MSCI EAFE                                  464287465    305     6105  SH  DEFINED                      1105   0     5000
I SHARES RUSSELL 1000 VALUE                         464287598  12468   182762  SH  SOLE                       169762   0    13000
I SHARES RUSSELL 1000 VALUE                         464287598    526     7710  SH  DEFINED                      3710   0     4000
ISHARES TR RUSSELL 1000         GROWTH INDEX FUND   464287614  12749   201660  SH  SOLE                       185235   0    16425
ISHARES TR RUSSELL 1000         GROWTH INDEX FUND   464287614    590     9332  SH  DEFINED                      4832   0     4500
ISHARES TR                      RUSL 2000 VALU      464287630    107     1515  SH  SOLE                         1515   0        0
ISHARES TR                      S&P SMLCAP 600      464287804   6793    92712  SH  SOLE                        83722   0     8990
ISHARES TR                      S&P SMLCAP 600      464287804    374     5104  SH  DEFINED                      3104   0     2000
ISHARES TR                      JPMORGAN USD        464288281   1721    15000  SH  SOLE                        15000   0        0
ISHARES TR                      HIGH YLD CORP       464288513   3108    34043  SH  SOLE                        34043   0        0
ISHARES TR                      MRTG PLS CAP IDX    464288539     22     1525  SH  SOLE                         1525   0        0
ISHARES TR                      BARCLYS MBS BD      464288588     27      250  SH  SOLE                          250   0        0
ISHARES TR                      BARCLYS 1-3YR CR    464288646   3152    30102  SH  SOLE                        28507   0     1595
ISHARES TR                      BARCLYS 1-3YR CR    464288646     18      171  SH  DEFINED                       171   0        0
ISHARES TR                      US PFD STK IDX      464288687   3114    79805  SH  SOLE                        77630   0     2175
ISHARES TR                      US PFD STK IDX      464288687    206     5270  SH  DEFINED                      5270   0        0
ISHARES TR                      DJ HOME CONSTN      464288752     11      656  SH  DEFINED                       656   0        0
ISHARES TR                      MSCI PERU CAP       464289842    280     6600  SH  SOLE                          975   0     5625
ISHARES TR                      HGH DIV EQT FD      46429B663   5676    95660  SH  SOLE                        92735   0     2925
ISHARES TR                      HGH DIV EQT FD      46429B663    415     7000  SH  DEFINED                      7000   0        0
ISHARES TR                      BRC 0-5 YR TIP      46429B747    886     8665  SH  SOLE                         7515   0     1150
JDS UNIPHASE CORP               COM PAR $0.001      46612J507     28     2500  SH  SOLE                            0   0     2500
JP MORGAN CHASE & CO            COM                 46625H100    312     8725  SH  SOLE                         8725   0        0
JP MORGAN CHASE & CO            COM                 46625H100     22      623  SH  DEFINED                       623   0        0
JOHNSON & JOHNSON               COM                 478160104    926    13708  SH  SOLE                        13686   0       22
JOHNSON & JOHNSON               COM                 478160104    187     2774  SH  DEFINED                      2774   0        0
KELLOGG CO                      COM                 487836108     25      500  SH  SOLE                          500   0        0
KEYCORP NEW                     COM                 493267108     41     5318  SH  SOLE                         5318   0        0
KIMBERLY CLARK CORP             COM                 494368103      8      100  SH  DEFINED                       100   0        0
KINDER MORGAN ENERGY PARTNER    UT LTD PARTNER      494550106     12      150  SH  DEFINED                       150   0        0
KINDER MORGAN INC DEL           COM                 49456B101      3      105  SH  SOLE                          105   0        0
KINDER MORGAN INC DEL           *W EXP 05/25/2017   49456B119      0      160  SH  SOLE                          160   0        0
KRAFT FOODS INC                 CL A                50075N104    304     7864  SH  SOLE                         7828   0       36
KRAFT FOODS INC                 CL A                50075N104     71     1836  SH  DEFINED                      1836   0        0
LAZARD WORLD DIVID & INCOME     COM                 521076109     19     1660  SH  DEFINED                      1660   0        0
LILLY ELI & CO                  COM                 532457108    138     3227  SH  SOLE                         3193   0       34
LILLY ELI & CO                  COM                 532457108     28      660  SH  DEFINED                       660   0        0
LINCOLN NATL CORP IND           COM                 534187109     89     4091  SH  SOLE                         4091   0        0
LOCKHEED MARTIN CORP            COM                 539830109    344     3950  SH  SOLE                         3950   0        0
LOWES COS INC                   COM                 548661107    131     4600  SH  SOLE                         4600   0        0
MACYS INC                       COM                 55616P104      9      250  SH  SOLE                            0   0      250
MAGELLAN MIDSTREAM PRTNRS LP    COM  UNIT RP LP     559080106      6       79  SH  DEFINED                        79   0        0
MARATHON OIL CORP                                   565849106     15      604  SH  SOLE                          604   0        0
MARKET VECTORS ETF TR           GOLD MINER ETF      57060U100   1618    36150  SH  SOLE                        35425   0      725
MARKET VECTORS ETF TR           RUSSIA ETF          57060U506    178     6800  SH  SOLE                         1275   0     5525
MARKET VECTORS ETF TR           AGRIBUS ETF         57060U605      5      100  SH  SOLE                            0   0      100
MARKET VECTORS ETF TR           VIETNAM ETF         57060U761    262    14275  SH  SOLE                         3175   0    11100
MCDONALDS CORP                  COM                 580135101    307     3467  SH  SOLE                         3451   0       16
MCDONALDS CORP                  COM                 580135101     25      277  SH  DEFINED                       277   0        0
MEDTRONIC INC                   COM                 585055106    288     7450  SH  SOLE                         7450   0        0
MEDTRONIC INC                   COM                 585055106     95     2460  SH  DEFINED                      2460   0        0
MERCK & CO INC NEW              COM                 58933Y105    610    14622  SH  SOLE                        14585   0       37
MERCK & CO INC NEW              COM                 58933Y105    246     5902  SH  DEFINED                      5902   0        0
MICROSOFT CORP                  COM                 594918104   1000    32681  SH  SOLE                        25189   0     7492
MICROSOFT CORP                  COM                 594918104    187     6100  SH  DEFINED                      6100   0        0
MONSANTO CO (NEW)                                   61166W101      6       70  SH  DEFINED                        70   0        0
MORGAN STANLEY                  COM NEW             617446448     18     1250  SH  SOLE                         1250   0        0
MORGAN STANLEY INDIA INVS FD    COM                 61745C105     32     2050  SH  SOLE                            0   0     2050
MYLAN LABS INC                  COM                 628530107      5      225  SH  SOLE                          225   0        0
NATIONAL FUEL GAS CO N J        COM                 636180101      4       80  SH  SOLE                           80   0        0
NATIONAL FUEL GAS CO N J        COM                 636180101     79     1685  SH  DEFINED                      1685   0        0
NEWELL RUBBERMAID INC           COM                 651229106     12      650  SH  SOLE                            0   0      650
NEWMONT MINING CORP             COM                 651639106     10      204  SH  SOLE                          204   0        0
NEXTERA ENERGY INC              COM                 65339F101     72     1050  SH  SOLE                          900   0      150
NOKIA CORP                      SPONSORED ADR       654902204     16     7750  SH  SOLE                         7750   0        0
NORFOLK SOUTHERN CORP           COM                 655844108     88     1222  SH  SOLE                         1222   0        0
NORWOOD FINANCIAL CORP          COM                 669549107     39     1365  SH  SOLE                         1365   0        0
NUCOR CORP                      COM                 670346105     99     2600  SH  SOLE                         2600   0        0
NUVEEN PREFERRED INCOME         OPPURTUNITIES FUND  67073B106      9     1000  SH  SOLE                         1000   0        0
OGE ENERGY CORP                 COM                 670837103     31      600  SH  DEFINED                       600   0        0
OCCIDENTAL PETE CORP DEL        COM                 674599105     18      209  SH  SOLE                          109   0      100
OMNICOM GROUP INC               COM                 681919106     22      450  SH  SOLE                          450   0        0
ORACLE CORP                     COM                 68389X105    143     4817  SH  SOLE                         4817   0        0
PG&E CORP                       COM                 69331C108     48     1059  SH  SOLE                         1027   0       32
PG&E CORP                       COM                 69331C108     28      625  SH  DEFINED                       625   0        0
PPG INDS INC                    COM                 693506107    197     1857  SH  SOLE                         1857   0        0
PPL CORP                        COM                 69351T106    240     8639  SH  SOLE                         8639   0        0
PAYCHEX INC                     COM                 704326107      4      135  SH  SOLE                          135   0        0
PAYCHEX INC                     COM                 704326107     10      312  SH  DEFINED                       312   0        0
PENNEY J C INC                  COM                 708160106     23     1000  SH  SOLE                         1000   0        0
PEPSICO INC                     COM                 713448108    895    12664  SH  SOLE                        12644   0       20
PEPSICO INC                     COM                 713448108    212     3002  SH  DEFINED                      3002   0        0
PFIZER INC                      COM                 717081103    367    15973  SH  SOLE                        15709   0      264
PFIZER INC                      COM                 717081103     60     2615  SH  DEFINED                      2615   0        0
PHILIP MORRIS INTL INC          COM                 718172109     46      523  SH  SOLE                          523   0        0
PHILIP MORRIS INTL INC          COM                 718172109    105     1200  SH  DEFINED                      1200   0        0
PHILLIPS 66                     COM                 718546104     43     1281  SH  SOLE                         1281   0        0
PHILLIPS 66                     COM                 718546104      9      273  SH  DEFINED                       273   0        0
PINNACLE WEST CPTLCORP                              723484101    252     4875  SH  SOLE                         4875   0        0
PLUM CREEK TIMBER CO INC        COM                 729251108     11      274  SH  DEFINED                       274   0        0
POWERSHARES DB CMDTY IDX TRA    UNIT BEN INT        73935S105   2822   109596  SH  SOLE                        99321   0    10275
POWERSHARES ETF TRUST           BASIC MAT SECT      73935X427      5      140  SH  DEFINED                       140   0        0
POWERSHARES ETF TRUST           WATER RESOURCE      73935X575      1       50  SH  SOLE                           50   0        0
POWERSHS DB US DOLLAR INDEX     DOLL INDX BULL      73936D107   1337    59550  SH  SOLE                        59550   0        0
POWERSHARES ETF TRUST II        MENA FRNTR ETF      73936Q603     16     1500  SH  SOLE                            0   0     1500
POWERSHARES ETF TR II           BUILD AMER ETF      73937B407    559    18825  SH  SOLE                        15625   0     3200
PRAXAIR INC                     COM                 74005P104    197     1812  SH  SOLE                         1812   0        0
PROCTER & GAMBLE CO             COM                 742718109    798    13022  SH  SOLE                        13000   0       22
PROCTER & GAMBLE CO             COM                 742718109     25      413  SH  DEFINED                       413   0        0
PROGRESS ENERGY INC             COM                 743263105     79     1311  SH  SOLE                         1311   0        0
PROGRESSIVE CORP OHIO           COM                 743315103     42     2000  SH  SOLE                         2000   0        0
PROSHARES TR                    PSHS ULTSH 20YRS    74347R297   1030    65000  SH  SOLE                        65000   0        0
PROSHARES TR                    PSHS ULSHT SP500    74347R883    935    60000  SH  SOLE                        60000   0        0
PRUDENTIAL FINL INC             COM                 744320102     10      204  SH  SOLE                          204   0        0
PUBLIC SVC ENTERPRISE GROUP     COM                 744573106     70     2163  SH  SOLE                         2163   0        0
PUBLIC SVC ENTERPRISE GROUP     COM                 744573106     28      858  SH  DEFINED                       858   0        0
QUALCOMM INC                    COM                 747525103    265     4760  SH  SOLE                         4760   0        0
QUESTCOR PHARMACEUTICALS INC    COM                 74835Y101      5       93  SH  DEFINED                        93   0        0
RAYTHEON CO                     COM NEW             755111507     57     1000  SH  SOLE                         1000   0        0
RITE AID CORP                   COM                 767754104      7     5000  SH  SOLE                         5000   0        0
ROCKWELL COLLINS INC                                774341101    186     3775  SH  SOLE                         3775   0        0
ROYAL DUTCH SHELL PLC           SPONS ADR A         780259206    367     5437  SH  SOLE                         5437   0        0
SPDR S&P 500 ETF TRUST                              78462F103   3745    27520  SH  SOLE                        27520   0        0
SPDR S&P 500 ETF TRUST                              78462F103    364     2678  SH  DEFINED                      2678   0        0
SPDR GOLD TRUST                 GOLD SHS            78463V107     40      257  SH  SOLE                          257   0        0
SPDR GOLD TRUST                 GOLD SHS            78463V107     29      190  SH  DEFINED                       190   0        0
SPDR INDEX SHS FDS              S&P INTL ETF        78463X772     57     1275  SH  SOLE                         1275   0        0
SPDR INDEX SHS FDS              MACQU GLBIN100      78463X855      2       50  SH  SOLE                           50   0        0
SPDR SERIES TRUST               BRCLYS CAP CONV     78464A359   1534    40835  SH  SOLE                        39205   0     1630
SPDR SERIES TRUST               LEHMAN YLD ETF      78464A417   3760    95299  SH  SOLE                        84899   0    10400
SPDR SERIES TRUST               LEHMAN YLD ETF      78464A417    160     4050  SH  DEFINED                      1050   0     3000
SPDR SERIES TRUST               DB INT GVT ETF      78464A490     52      875  SH  SOLE                          875   0        0
SPDR SERIES TRUST               S&P DIVID ETF       78464A763     28      500  SH  SOLE                          500   0        0
SPDR S&P MIDCAP 400 ETF TR      UTSER1 S&PDCRP      78467Y107   3559    20777  SH  SOLE                        18127   0     2650
SPDR S&P MIDCAP 400 ETF TR      UTSER1 S&PDCRP      78467Y107    342     1994  SH  DEFINED                      1994   0        0
SCHLUMBERGER LTD                                    806857108    630     9700  SH  SOLE                         9700   0        0
SELECT SECTOR SPDR TR           SBI CONS STPLS      81369Y308     30      850  SH  SOLE                          850   0        0
SELECT SECTOR SPDR TR           SBI CONS DISCR      81369Y407      4      100  SH  DEFINED                       100   0        0
SECTOR SPDR TR                  SBI INT-ENERGY      81369Y506   1818    27400  SH  SOLE                        27400   0        0
SELECT SECTOR SPDR TR           SBI INT-TECH        81369Y803    495    17250  SH  SOLE                         4600   0    12650
SELECT SECTOR SPDR TR           SBI INT-UTILS       81369Y886   1652    44675  SH  SOLE                        44675   0        0
SIGMA ALDRICH CORP              COM                 826552101    231     3130  SH  SOLE                         3130   0        0
SOUTHERN CO                     COM                 842587107    406     8761  SH  SOLE                         8761   0        0
SOUTHERN CO                     COM                 842587107     76     1645  SH  DEFINED                      1645   0        0
SPECTRA ENERGY CORP             COM                 847560109    114     3939  SH  SOLE                         3890   0       49
SPECTRA ENERGY CORP             COM                 847560109     26      884  SH  DEFINED                       884   0        0
STAPLES INCORPORATED                                855030102     29     2250  SH  SOLE                         2250   0        0
STATE STR CORP                  COM                 857477103     56     1250  SH  SOLE                         1250   0        0
STRYKER CORP                    COM                 863667101      6      110  SH  SOLE                          110   0        0
SYMANTEC CORP                   COM                 871503108     36     2455  SH  SOLE                         2455   0        0
SYSCO CORP                      COM                 871829107     71     2375  SH  SOLE                         2375   0        0
TARGET CORP                     COM                 87612E106    221     3800  SH  SOLE                         3800   0        0
TENARIS S A                     SPONSORED ADR       88031M109     35     1000  SH  SOLE                         1000   0        0
TEVA PHARMACEUTICAL INDS LTD    ADR                 881624209      9      237  SH  SOLE                          237   0        0
TEXAS INSTRS INC                COM                 882508104    148     5145  SH  SOLE                         5145   0        0
THERMO FISHER SCIENTIFIC INC    COM                 883556102     13      258  SH  SOLE                          258   0        0
3M CO                           COM                 88579Y101    125     1400  SH  SOLE                         1250   0      150
3M CO                           COM                 88579Y101     36      400  SH  DEFINED                       400   0        0
TIME WARNER INC                 COM NEW             887317303      2       40  SH  SOLE                            0   0       40
TOMPKINS TRUST CO INC           COM                 890110109    126     3341  SH  SOLE                         3341   0        0
TRANSCANADA CORP                COM                 89353D107      4      100  SH  DEFINED                       100   0        0
TRANS1 INC                      COM                 89385X105     14     5775  SH  SOLE                         3825   0     1950
TRANS1 INC                      COM                 89385X105      5     1925  SH  DEFINED                         0   0     1925
TRAVELERS COMPANIES INC         COM                 89417E109     13      208  SH  SOLE                          208   0        0
TRUSTCO BK CORP N Y             COM                 898349105      5      842  SH  DEFINED                       842   0        0
UIL HLDG CORP                   COM                 902748102     30      829  SH  SOLE                          829   0        0
UNION PAC CORP                  COM                 907818108    477     4000  SH  SOLE                         4000   0        0
UNION PAC CORP                  COM                 907818108      5       40  SH  DEFINED                        40   0        0
UNITED PARCEL SERVICE INC       CL B                911312106     99     1260  SH  SOLE                         1260   0        0
UNITED TECHNOLOGIES CORP        COM                 913017109    271     3585  SH  SOLE                         3585   0        0
VALERO ENERGY CORP NEW          COM                 91913Y100     10      421  SH  SOLE                          421   0        0
VANGUARD SPECIALIZED PORTFOL    DIV APP ETF         921908844  13683   241412  SH  SOLE                       213937   0    27475
VANGUARD SPECIALIZED PORTFOL    DIV APP ETF         921908844    487     8600  SH  DEFINED                      8600   0        0
VANGUARD BD INDEX FD INC        TOTAL BND MRKT      921937835   1948    23084  SH  SOLE                        22789   0      295
VANGUARD BD INDEX FD INC        TOTAL BND MRKT      921937835    618     7326  SH  DEFINED                      7326   0        0
VANGUARD HIGH DIVIDEND YIELD    ETF                 921946406     22      450  SH  SOLE                          450   0        0
VANGUARD INTL EQUITY INDEX F    FTSE SMCAP ETF      922042718    270     3320  SH  SOLE                         3320   0        0
VANGUARD MSCI EMERGING          MARKETS ETF         922042858   3417    85584  SH  SOLE                        75259   0    10325
VANGUARD MSCI EMERGING          MARKETS ETF         922042858    206     5150  SH  DEFINED                       150   0     5000
VANGUARD INDEX FDS              REIT ETF            922908553   1346    20575  SH  SOLE                        20575   0        0
VANGUARD INDEX FDS              MID CAP ETF         922908629   4771    61800  SH  SOLE                        59050   0     2750
VANGUARD INDEX FDS              MID CAP ETF         922908629    197     2550  SH  DEFINED                        50   0     2500
VANGUARD INDEX FDS              SMALL CP ETF        922908751      8      100  SH  DEFINED                       100   0        0
VERIZON COMMUNICATIONS          COM                 92343V104   1050    23628  SH  SOLE                        23245   0      383
VERIZON COMMUNICATIONS          COM                 92343V104     83     1875  SH  DEFINED                      1875   0        0
VISA INC                        COM CL A            92826C839     96      775  SH  SOLE                          775   0        0
VISA INC                        COM CL A            92826C839      5       39  SH  DEFINED                        39   0        0
VULCAN MATLS CO                 COM                 929160109     99     2500  SH  SOLE                         2500   0        0
WAL MART STORES INC             COM                 931142103    890    12766  SH  SOLE                        12745   0       21
WAL MART STORES INC             COM                 931142103     30      427  SH  DEFINED                       427   0        0
WALGREEN CO                     COM                 931422109    174     5900  SH  SOLE                         5650   0      250
WASTE MGMT INC DEL              COM                 94106L109     10      300  SH  SOLE                          300   0        0
WASTE MGMT INC DEL              COM                 94106L109     21      625  SH  DEFINED                       625   0        0
WELLS FARGO & CO NEW            COM                 949746101    177     5286  SH  SOLE                         5286   0        0
WESTERN ASSET MANAGED MUNI                          95766M105     39     2673      SOLE                         2673   0        0
WILLIAMS COS INC DEL            COM                 969457100     20      710  SH  SOLE                          664   0       46
WINDSTREAM CORP                 COM                 97381W104      8      845  SH  SOLE                          845   0        0
WINDSTREAM CORP                 COM                 97381W104      1       59  SH  DEFINED                        59   0        0
WISCONSIN ENERGY CORP           COM                 976657106     65     1650  SH  SOLE                         1650   0        0
WISDOMTREE EQUTT INCOME FUND                        97717W208     32      700  SH  SOLE                          700   0        0
WISDOMTREE TRUST                EMERG MKTS ETF      97717W315   3445    66500  SH  SOLE                        56150   0    10350
WISDOMTREE TRUST                INTL MIDCAP DV      97717W778   1513    34550  SH  SOLE                        33450   0     1100
WISDOMTREE TRUST                INTL DV TOP100      97717W786     61     1600  SH  SOLE                          200   0     1400
WISDOMTREE TR                   EM LCL DEBT FD      97717X867   2319    45825  SH  SOLE                        45625   0      200
XEROX CORP                      COM                 984121103     10     1225  SH  SOLE                         1225   0        0
XYLEM INC                       COM                 98419M100     20      800  SH  DEFINED                       800   0        0
YUM BRANDS INC                                      988498101     46      720  SH  SOLE                          720   0        0
ZIMMER HLDGS INC                COM                 98956P102    120     1868  SH  SOLE                         1868   0        0

GRAND TOTALS                                                  210096  4596463                                4245178   0   351285