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, 2011

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:    Karen Mohn signing for Community Bank Services Inc.
Title:   Operations Manager
Phone:   716-633-3800

Signature, Place, and Date of Signing:

Karen Mohn                         Williamsville, NY        07/14/11
[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:             334

Form 13F Information Table Value Total:           $161,825
                                                 (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.]





                           FORM 13F INFORMATION TABLE



                                TITLE OF                       VALUE    SHARES/   SH/       PUT/  INVSTMT       VOTING AUTHORITY
NAME OF ISSUER                  CLASS              CUSIP      (X$1000)  PRN AMT   PRN       CALL  DSCRETN       SOLE SHARED  NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                               
COOPER INDUSTRIES PLC           SHS                 G24140108      6          100 SH                SOLE          100   0         0
COOPER INDUSTRIES PLC           SHS                 G24140108      6          100 SH                DEFINED       100   0         0
INGERSOLL-RAND PLC              SHS                 G47791101     60         1320 SH                DEFINED      1320   0         0
UBS AG                          SHS NEW             H89231338      0            4 SH                SOLE            4   0         0
FLEXTRONICS INTL LTD            ORD                 Y2573F102      1          200 SH                SOLE          200   0         0
AFLAC INC                       COM                   1055102      5          105 SH                SOLE          105   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
AT&T INC                        COM                 00206R102   1292        41151 SH                SOLE        41151   0         0
AT&T INC                        COM                 00206R102    249         7938 SH                DEFINED      7938   0         0
ABBOTT LABS                     COM                   2824100    333         6329 SH                SOLE         6329   0         0
AIR PRODS & CHEMS INC           COM                   9158106    492         5150 SH                SOLE         5150   0         0
ALCOA INC                       COM                  13817101     59         3750 SH                SOLE         3750   0         0
ALCATEL-LUCENT                  SPONSORED ADR        13904305      1           87 SH                SOLE           87   0         0
ALTRIA GROUP INC                COM                 02209S103     13          500 SH                SOLE          500   0         0
ALTRIA GROUP INC                COM                 02209S103     32         1200 SH                DEFINED      1200   0         0
AMERICAN ELEC PWR INC           COM                  25537101    133         3533 SH                SOLE         3533   0         0
AMERICAN ELEC PWR INC           COM                  25537101     27          720 SH                DEFINED       720   0         0
AMERICAN EXPRESS CO             COM                  25816109     13          250 SH                SOLE          250   0         0
AMGEN INC                       COM                  31162100    127         2175 SH                SOLE         2175   0         0
AMGEN INC                       COM                  31162100     58         1000 SH                DEFINED      1000   0         0
ANALOG DEVICES INC              COM                  32654105     29          750 SH                SOLE          750   0         0
APACHE CORP                     COM                  37411105     54          440 SH                SOLE          440   0         0
APPLE INC                       COM                  37833100   5241        15613 SH                SOLE        15513   0       100
APPLIED MATLS INC               COM                  38222105     16         1200 SH                SOLE         1200   0         0
AQUA AMERICA INC                COM                 03836W103     22         1000 SH                SOLE         1000   0         0
AUTOMATIC DATA PROCESSING IN    COM                  53015103    490         9300 SH                SOLE         9300   0         0
BP PLC                          SPONSORED ADR        55622104     62         1400 SH                SOLE         1400   0         0
BAKER HUGHES INC                COM                  57224107    133         1830 SH                SOLE         1680   0       150
BANK OF AMERICA CORPORATION     COM                  60505104     96         8750 SH                SOLE         8750   0         0
BANK OF NEW YORK MELLON CORP    COM                  64058100    718        28039 SH                SOLE        28039   0         0
BARCLAYS BANK PLC               SP ADR 7.1%PF3      06739H776    395        15600 SH                SOLE        15600   0         0
BARCLAYS BANK PLC               SP ADR 7.1%PF3      06739H776     43         1700 SH                DEFINED      1700   0         0
BARRICK GOLD CORP               COM                  67901108     24          525 SH                SOLE          150   0       375
BAXTER INTL INC                 COM                  71813109    197         3300 SH                SOLE         3300   0         0
BECTON DICKINSON & CO           COM                  75887109    146         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     29          371 SH                SOLE          371   0         0
BEST BUY INC                    COM                  86516101      7          225 SH                SOLE          225   0         0
BOEING CO                       COM                  97023105    233         3150 SH                SOLE         3150   0         0
BOEING CO                       COM                  97023105     37          500 SH                DEFINED       500   0         0
BRISTOL MYERS SQUIBB CO         COM                 110122108    358        12354 SH                SOLE        12354   0         0
BRISTOL MYERS SQUIBB CO         COM                 110122108     23          800 SH                DEFINED       800   0         0
BUCKEYE PARTNERS L P            UNIT LTD PARTN      118230101      7          115 SH                SOLE          115   0         0
CIT GROUP INC                   COM NEW             125581801     18          408 SH                SOLE          408   0         0
CVS CAREMARK/CORP               COM                 126650100    229         6100 SH                SOLE         6100   0         0
CATERPILLAR INC DEL             COM                 149123101    229         2150 SH                SOLE         2150   0         0
CENTERPOINT ENERGY INC          COM                 15189T107     31         1627 SH                SOLE         1627   0         0
CENTURYTEL INC                  COM                 156700106     21          530 SH                SOLE          530   0         0
CHESAPEAKE ENERGY CORP          COM                 165167107     59         2000 SH                SOLE         2000   0         0
CHEVRON CORP                    COM                 166764100    220         2135 SH                SOLE         2135   0         0
CHEVRON CORP                    COM                 166764100     33          320 SH                DEFINED       320   0         0
CHUBB CORP                      COM                 171232101    296         4725 SH                SOLE         4725   0         0
CIENA CORP                      COM NEW             171779309     26         1429 SH                SOLE         1429   0         0
CISCO SYS INC                   COM                 17275R102    113         7250 SH                SOLE         7250   0         0
CLOUGH GLOBAL OPPORTUNITIES     SH BEN INT          18914E106     30         2213 SH                SOLE         2213   0         0
COCA COLA CO                    COM                 191216100    627         9322 SH                SOLE         9322   0         0
COCA COLA CO                    COM                 191216100    216         3215 SH                DEFINED      3215   0         0
COLGATE PALMOLIVE CO            COM                 194162103    352         4025 SH                SOLE         4025   0         0
COLGATE PALMOLIVE CO            COM                 194162103    155         1768 SH                DEFINED      1768   0         0
COMCAST CORP                                        20030N101     92         3633 SH                SOLE         3633   0         0
COMMUNITY BK SYS INC            COM                 203607106  10799       435602 SH                SOLE       435602   0         0
COMMUNITY BK SYS INC            COM                 203607106    876        35320 SH                DEFINED     35320   0         0
CONOCOPHILLIPS                  COM                 20825C104     55          725 SH                SOLE          725   0         0
CONOCOPHILLIPS                  COM                 20825C104     30          395 SH                DEFINED       395   0         0
CONSOLIDATED EDISON INC         COM                 209115104    157         2955 SH                SOLE         2955   0         0
CONSTELLATION BRANDS INC        CL A                21036P108     33         1600 SH                SOLE         1600   0         0
CONSTELLATION BRANDS INC        CL A                21036P108     59         2846 SH                DEFINED      2846   0         0
CORNING INC                     COM                 219350105    201        11091 SH                SOLE        11091   0         0
CORNING INC                     COM                 219350105      4          240 SH                DEFINED       240   0         0
COVANCE INC                     COM                 222816100      3           48 SH                SOLE           48   0         0
CUMMINS INC                     COM                 231021106     83          800 SH                SOLE          800   0         0
CURTISS WRIGHT CORP             COM                 231561101     26          800 SH                SOLE          800   0         0
DTE ENERGY CO                   COM                 233331107     11          215 SH                SOLE          215   0         0
DEERE & CO                      COM                 244199105      5           55 SH                SOLE           55   0         0
DELL INC                                            24702R101      9          550 SH                SOLE          550   0         0
DISNEY WALT CO                  COM DISNEY          254687106    314         8044 SH                SOLE         8044   0         0
DOMINION RES INC VA NEW         COM                 25746U109    106         2192 SH                SOLE         2192   0         0
DOMINION RES INC VA NEW         COM                 25746U109     14          300 SH                DEFINED       300   0         0
DONNELLEY R R & SONS CO         COM                 257867101      2          100 SH                SOLE            0   0       100
DU PONT E I DE NEMOURS & CO     COM                 263534109    310         5742 SH                SOLE         5742   0         0
DU PONT E I DE NEMOURS & CO     COM                 263534109     11          200 SH                DEFINED       200   0         0
DUKE ENERGY CORP NEW            COM                 26441C105     54         2850 SH                SOLE         2450   0       400
E M C CORP MASS                 COM                 268648102    107         3875 SH                SOLE         3875   0         0
EATON CORP                      COM                 278058102      8          160 SH                DEFINED       160   0         0
EL PASO CORP                                        28336L109     66         3250 SH                SOLE         3250   0         0
ELAN PLC                        ADR                 284131208      0           19 SH                SOLE           19   0         0
EMERSON ELEC CO                 COM                 291011104    664        11810 SH                SOLE        11810   0         0
ENTERPRISE PRODS PARTNERS L     COM                 293792107      9          200 SH                DEFINED       200   0         0
EXELON CORP                     COM                 30161N101     19          432 SH                SOLE          432   0         0
EXELON CORP                     COM                 30161N101     34          800 SH                DEFINED       800   0         0
EXXON MOBIL CORP                COM                 30231G102   2510        30849 SH                SOLE        30849   0         0
EXXON MOBIL CORP                COM                 30231G102    231         2844 SH                DEFINED      2844   0         0
FNB CORP PA                     COM                 302520101     36         3454 SH                SOLE         3454   0         0
FIRST TR ISE REVERE NAT GAS     COM                 33734J102      5          225 SH                DEFINED       225   0         0
FORD MTR CO DEL                 COM PAR $0.01       345370860     69         5000 SH                SOLE         5000   0         0
FORD MTR CO DEL                 COM PAR $0.01       345370860     39         2805 SH                DEFINED      2805   0         0
FOREST LABS INC                 COM                 345838106      4          110 SH                SOLE            0   0       110
FREEPORT-MCMORAN COPPER & GO    COM                 35671D857      7          140 SH                DEFINED       140   0         0
FRONTIER COMMUNICATIONS CORP    COM                 35906A108      2          284 SH                SOLE          284   0         0
FRONTIER COMMUNICATIONS CORP    COM                 35906A108      1          117 SH                DEFINED       117   0         0
GENERAL DYNAMICS CORP           COM                 369550108     15          200 SH                SOLE          200   0         0
GENERAL ELEC CO                 COM                 369604103   3972       210582 SH                SOLE       210482   0       100
GENERAL ELEC CO                 COM                 369604103    156         8291 SH                DEFINED      8291   0         0
GENERAL MLS INC                 COM                 370334104    160         4300 SH                SOLE         4300   0         0
GENERAL MLS INC                 COM                 370334104     71         1920 SH                DEFINED      1920   0         0
GENESEE & WYO INC               CL A                371559105      6          100 SH                DEFINED       100   0         0
GENUINE PARTS CO                COM                 372460105     24          450 SH                SOLE          450   0         0
GLAXOSMITHKLINE PLC             SPONSORED ADR       37733W105    156         3641 SH                SOLE         3641   0         0
GOLDMAN SACHS GROUP INC         COM                 38141G104     20          150 SH                SOLE          150   0         0
GOOGLE INC                      CL A                38259P508      4            7 SH                SOLE            7   0         0
HCP INC                         COM                 40414L109     19          520 SH                SOLE          520   0         0
HSBC HLDGS PLC                  ADR A 1/40PFA       404280604     49         2000 SH                SOLE         2000   0         0
HARSCO CORP                                         415864107    521        16000 SH                SOLE        16000   0         0
HARTFORD FINL SVCS GROUP INC    COM                 416515104     37         1400 SH                DEFINED      1400   0         0
HEINZ H J CO                    COM                 423074103    232         4350 SH                SOLE         4350   0         0
HEWLETT PACKARD CO              COM                 428236103    260         7150 SH                SOLE         7150   0         0
HEWLETT PACKARD CO              COM                 428236103     13          360 SH                DEFINED       360   0         0
HOME DEPOT INC                  COM                 437076102    148         4088 SH                SOLE         4088   0         0
HONEYWELL INTL INC              COM                 438516106    200         3360 SH                SOLE         3360   0         0
ITT CORP NEW                    COM                 450911102     47          800 SH                DEFINED       800   0         0
ILLINOIS TOOL WKS INC           COM                 452308109    528         9350 SH                SOLE         9350   0         0
INTEL CORP                      COM                 458140100    468        21137 SH                SOLE        20887   0       250
INTEL CORP                      COM                 458140100    204         9200 SH                DEFINED      9200   0         0
INTEGRYS ENERGY GROUP INC       COM                 45822P105     39          750 SH                DEFINED       750   0         0
INTL BUSINESS MACH              COM                 459200101    692         4033 SH                SOLE         4033   0         0
INTL BUSINESS MACH              COM                 459200101    200         1167 SH                DEFINED      1167   0         0
INTERNATIONAL GAME TECHNOLOG    COM                 459902102     26         1500 SH                SOLE         1500   0         0
ISHARES SILVER TRUST            ISHARES             46428Q109     25          750 SH                SOLE          750   0         0
ISHARES INC                     MSCI AUSTRALIA      464286103    279        10700 SH                SOLE        10700   0         0
ISHARES INC                     MSCI BRAZIL         464286400    347         4725 SH                SOLE         4725   0         0
ISHARES INC                     MSCI CDA INDEX      464286509    986        31139 SH                SOLE        30689   0       450
ISHARES INC                     MSCI CDA INDEX      464286509    112         3550 SH                DEFINED      1550   0      2000
ISHARES INC                     MASI THAILAND       464286624    333         5250 SH                SOLE         5250   0         0
ISHARES INC                     MACI PAC J IDX      464286665     36          750 SH                SOLE          750   0         0
ISHARES INC                     MACI PAC J IDX      464286665      7          150 SH                DEFINED       150   0         0
ISHARES INC                     MSCI SINGAPORE      464286673    266        19350 SH                SOLE        19350   0         0
ISHARES INC                     MSCI TURKEY FD      464286715    460         7725 SH                SOLE         7725   0         0
ISHARES INC                     MSCI TAIWAN         464286731    249        16375 SH                SOLE        16375   0         0
ISHARES INC                     MSCI S KOREA        464286772    384         5900 SH                SOLE         5900   0         0
ISHARES TR                      DJ SEL DIV INX      464287168   4306        81360 SH                SOLE        80390   0       970
I SHARES BARCLAYS TIPS BOND     FUND                464287176    532         4811 SH                SOLE         4020   0       791
I SHARES BARCLAYS TIPS BOND     FUND                464287176     11          100 SH                DEFINED       100   0         0
I SHARES TR S&P 500 INDEX FD                        464287200      7           50 SH                SOLE            0   0        50
I SHARES MSCI EMERGING MKTS     INDEX FUND          464287234   1640        34469 SH                SOLE        34469   0         0
I SHARES MSCI EMERGING MKTS     INDEX FUND          464287234      5          115 SH                DEFINED       115   0         0
ISHARES TR                      IBOXX INV CPBD      464287242     85          770 SH                SOLE          770   0         0
ISHARES TR                      IBOXX INV CPBD      464287242    155         1405 SH                DEFINED      1405   0         0
ISHARES TR                      S&P GBL TELCM       464287275      8          125 SH                SOLE          125   0         0
ISHARES TR                      S&P GBL HLTHCR      464287325   3692        63515 SH                SOLE        62615   0       900
ISHARES TR                      S&P GBL HLTHCR      464287325    115         1975 SH                DEFINED       100   0      1875
ISHARES TR                      S&PLTN AM 40        464287390      9          175 SH                DEFINED       175   0         0
ISHARES TR                      1-3 YR TRS BD       464287457    274         3250 SH                SOLE         3250   0         0
ISHARES TR                      1-3 YR TRS BD       464287457     55          650 SH                DEFINED       650   0         0
I SHARES MSCI EAFE                                  464287465  13444       223579 SH                SOLE       223139   0       440
I SHARES MSCI EAFE                                  464287465    615        10230 SH                DEFINED      4030   0      6200
I SHARES RUSSELL 1000 VALUE                         464287598  10355       151659 SH                SOLE       147034   0      4625
I SHARES RUSSELL 1000 VALUE                         464287598    562         8228 SH                DEFINED      3728   0      4500
ISHARES TR RUSSELL 1000         GROWTH INDEX FUND   464287614  11697       192131 SH                SOLE       186931   0      5200
ISHARES TR RUSSELL 1000         GROWTH INDEX FUND   464287614    657        10787 SH                DEFINED      5287   0      5500
ISHARES TR                      RUSL 2000 VALU      464287630    144         1965 SH                SOLE         1965   0         0
ISHARES TR                      DJ US UTILS         464287697     33          400 SH                SOLE          400   0         0
ISHARES TR                      S&P SMLCAP 600      464287804   6559        89470 SH                SOLE        88155   0      1315
ISHARES TR                      S&P SMLCAP 601      464287804    372         5076 SH                DEFINED      3076   0      2000
ISHARES TR                      HIGH YLD CORP       464288513   2155        23600 SH                SOLE        23600   0         0
ISHARES TR                      BARCLYS 1-3YR CR    464288646   2709        25808 SH                SOLE        25808   0         0
ISHARES TR                      BARCLYS 1-3YR CR    464288646      8           72 SH                DEFINED        72   0         0
ISHARES TR                      US PFD STK IDX      464288687   1046        26390 SH                SOLE        26290   0       100
ISHARES TR                      US PFD STK IDX      464288687     11          270 SH                DEFINED       270   0         0
ISHARES TR                      DJ MED DEVICES      464288810      7          100 SH                DEFINED       100   0         0
ISHARES TR                      DJ OIL&GAS EXP      464288851      6           85 SH                DEFINED        85   0         0
JDS UNIPHASE CORP               COM PAR $0.001      46612J507     42         2500 SH                SOLE         2500   0         0
JP MORGAN CHASE & CO            COM                 46625H100    327         7995 SH                SOLE         7995   0         0
JP MORGAN CHASE & CO            COM                 46625H100     32          773 SH                DEFINED       773   0         0
JOHNSON & JOHNSON               COM                 478160104    791        11894 SH                SOLE        11894   0         0
JOHNSON & JOHNSON               COM                 478160104    157         2360 SH                DEFINED      2360   0         0
KELLOGG CO                      COM                 487836108     28          500 SH                SOLE          500   0         0
KEYCORP NEW                     COM                 493267108     44         5318 SH                SOLE         5318   0         0
KIMBERLY CLARK CORP             COM                 494368103      7          100 SH                DEFINED       100   0         0
KIMCO RLTY CORP                 COM                 49446R109     10          559 SH                SOLE          559   0         0
KINDER MORGAN ENERGY PARTNER    UTLTD PARTNER       494550106     11          150 SH                DEFINED       150   0         0
KRAFT FOODS INC                 CL A                50075N104    214         6064 SH                SOLE         6064   0         0
KRAFT FOODS INC                 CL A                50075N104     40         1139 SH                DEFINED      1139   0         0
LAZARD WORLD DIVID & INCOME     COM                 521076109     23         1660 SH                DEFINED      1660   0         0
LILLY ELI & CO                  COM                 532457108     48         1275 SH                SOLE         1275   0         0
LINCOLN NATL CORP IND           COM                 534187109    117         4091 SH                SOLE         4091   0         0
LOCKHEED MARTIN CORP            COM                 539830109    320         3950 SH                SOLE         3950   0         0
LOWES COS INC                   COM                 548661107    124         5330 SH                SOLE         5330   0         0
MACYS INC                       COM                 55616P104      7          250 SH                SOLE            0   0       250
MANULIFE FINL CORP              COM                 56501R106     31         1748 SH                SOLE         1748   0         0
MARATHON OIL CORP                                   565849106     32          613 SH                SOLE          613   0         0
MARKET VECTORS ETF TR           MV STEEL INDEX      57060U308     10          150 SH                SOLE          150   0         0
MARKET VECTORS ETF TR           MV STEEL INDEX      57060U308      6           90 SH                DEFINED        90   0         0
MARKET VECTORS ETF TR           RUSSIA ETF          57060U506    168         4350 SH                SOLE         4350   0         0
MARKET VECTORS ETF TR           AGRIBUS ETF         57060U605      5          100 SH                SOLE          100   0         0
MARKET VECTORS ETF TR           VIETNAM ETF         57060U761    222        10650 SH                SOLE        10650   0         0
MARKET VECTORS ETF TR           COAL ETF            57060U837      5           97 SH                DEFINED        97   0         0
MCDONALDS CORP                  COM                 580135101    180         2139 SH                SOLE         2139   0         0
MEDCO HEALTH SOLUTIONS INC                          58405U102     11          200 SH                SOLE          200   0         0
MEDTRONIC INC                   COM                 585055106    248         6450 SH                SOLE         6450   0         0
MEDTRONIC INC                   COM                 585055106     95         2460 SH                DEFINED      2460   0         0
MERCK & CO INC NEW              COM                 58933Y105    454        12860 SH                SOLE        12860   0         0
MERCK & CO INC NEW              COM                 58933Y105    184         5201 SH                DEFINED      5201   0         0
MICROSOFT CORP                  COM                 594918104    846        32530 SH                SOLE        32530   0         0
MICROSOFT CORP                  COM                 594918104    159         6100 SH                DEFINED      6100   0         0
MONSANTO CO (NEW)                                   61166W101      1           14 SH                SOLE           14   0         0
MONSANTO CO (NEW)                                   61166W101      5           70 SH                DEFINED        70   0         0
MORGAN STANLEY                  COM NEW             617446448     23         1000 SH                SOLE         1000   0         0
MORGAN STANLEY INDIA INVS FD    COM                 61745C105    311        14200 SH                SOLE        14200   0         0
MYLAN LABS INC                  COM                 628530107      6          225 SH                SOLE          225   0         0
NATIONAL FUEL GAS CO N J        COM                 636180101      3           40 SH                SOLE           40   0         0
NATIONAL FUEL GAS CO N J        COM                 636180101    123         1685 SH                DEFINED      1685   0         0
NEUBERGER BERMAN NY INT MUN     COM                 64124K102    138         9775 SH                SOLE         9775   0         0
NEW YORK CMNTY BANCORP INC      COM                 649445103      7          475 SH                DEFINED       475   0         0
NEXTERA ENERGY INC              COM                 65339F101     60         1050 SH                SOLE          900   0       150
NOKIA CORP                      SPONSORED ADR       654902204     54         8400 SH                SOLE         8400   0         0
NORFOLK SOUTHERN CORP           COM                 655844108    104         1382 SH                SOLE         1382   0         0
NORWOOD FINANCIAL CORP          COM                 669549107     36         1365 SH                SOLE         1365   0         0
NUCOR CORP                      COM                 670346105     54         1300 SH                SOLE         1300   0         0
NUVEEN PREFERRED AND            CONVERTIBLE INCOME  67073B106      9         1000 SH                SOLE         1000   0         0
OGE ENERGY CORP                 COM                 670837103     30          600 SH                DEFINED       600   0         0
OCCIDENTAL PETE CORP DEL        COM                 674599105     29          279 SH                SOLE          179   0       100
OCLARO INC                      COM NEW             67555N206      0           35 SH                SOLE           35   0         0
OMNICOM GROUP INC               COM                 681919106     22          450 SH                SOLE          450   0         0
ORACLE CORP                     COM                 68389X105    147         4480 SH                SOLE         4480   0         0
PPG INDS INC                    COM                 693506107    198         2177 SH                SOLE         2177   0         0
PPL CORP                        COM                 69351T106    241         8680 SH                SOLE         8680   0         0
PAYCHEX INC                     COM                 704326107     20          661 SH                SOLE          661   0         0
PAYCHEX INC                     COM                 704326107     10          312 SH                DEFINED       312   0         0
PEPSICO INC                     COM                 713448108    866        12295 SH                SOLE        12295   0         0
PEPSICO INC                     COM                 713448108    183         2600 SH                DEFINED      2600   0         0
PFIZER INC                      COM                 717081103    250        12156 SH                SOLE        11956   0       200
PFIZER INC                      COM                 717081103     29         1400 SH                DEFINED      1400   0         0
PHILIP MORRIS INTL INC          COM                 718172109     35          523 SH                SOLE          523   0         0
PHILIP MORRIS INTL INC          COM                 718172109     80         1200 SH                DEFINED      1200   0         0
PINNACLE WEST CPTLCORP                              723484101    217         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      6          200 SH                SOLE          200   0         0
POWERSHARES ETF TRUST           INDL SECT PORT      73935X369      5          170 SH                DEFINED       170   0         0
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
POWERSHARES ETF TRUST           FTSE RAFI 1000      73935X583     49          840 SH                SOLE          840   0         0
POWERSHARES ETF TRUST           DYNSEMCT PORT       73935X781      5          300 SH                DEFINED       300   0         0
POWERSHS DB US DOLLAR INDEX     DOLL INDX BULL      73936D107   1353        63800 SH                SOLE        63800   0         0
POWERSHARES ETF TRUST II        MENA FRNTR ETF      73936Q603     18         1500 SH                SOLE         1500   0         0
POWERSHARES ETF TR II           BUILD AMER ETF      73937B407    902        34725 SH                SOLE        31525   0      3200
PROCTER & GAMBLE CO             COM                 742718109    777        12221 SH                SOLE        12221   0         0
PROGRESS ENERGY INC             COM                 743263105     63         1311 SH                SOLE         1311   0         0
PROGRESSIVE CORP OHIO           COM                 743315103     43         2000 SH                SOLE         2000   0         0
PRUDENTIAL FINL INC             COM                 744320102     19          304 SH                SOLE          304   0         0
QUALCOMM INC                    COM                 747525103    270         4760 SH                SOLE         4760   0         0
RAYTHEON CO                     COM NEW             755111507     12          250 SH                SOLE          250   0         0
RITE AID CORP                   COM                 767754104      7         5000 SH                SOLE         5000   0         0
ROCKWELL COLLINS INC                                774341101    233         3775 SH                SOLE         3775   0         0
ROYAL DUTCH SHELL PLC           SPONS ADR A         780259206    413         5810 SH                SOLE         5810   0         0
SPDR S&P 500 ETF TRUST                              78462F103   3620        27431 SH                SOLE        27431   0         0
SPDR S&P 500 ETF TRUST                              78462F103    152         1154 SH                DEFINED      1154   0         0
SPDR GOLD TRUST                 GOLD SHS            78463V107    838         5740 SH                SOLE         5155   0       585
SPDR GOLD TRUST                 GOLD SHS            78463V107     61          420 SH                DEFINED       190   0       230
SPDR INDEX SHS FDS              EURO STOXX 50       78463X202      8          200 SH                SOLE          200   0         0
SPDR INDEX SHS FDS              S&P INTL ETF        78463X772     19          325 SH                SOLE          325   0         0
SPDR INDEX SHS FDS              MACQU GLBIN 100     78463X855      2           50 SH                SOLE           50   0         0
SPDR SERIES TRUST               BRCLYS CAP CONV     78464A359   1366        32945 SH                SOLE        32815   0       130
SPDR SERIES TRUST               LEHMAN YLD ETF      78464A417   2800        69625 SH                SOLE        68350   0      1275
SPDR SERIES TRUST               LEHMAN YLD ETF      78464A417    142         3525 SH                DEFINED      1050   0      2475
SPDR SERIES TRUST               OIL GAS EQUIP       78464A748      6          150 SH                DEFINED       150   0         0
SPDR SERIES TRUST               S&P METALS MNG      78464A755     12          175 SH                DEFINED       175   0         0
SPDR SERIES TRUST               S&P DIVID ETF       78464A763     16          300 SH                SOLE          300   0         0
SPDR S&P MIDCAP 400 ETF TR      UTSER1 S&P DCRP     78467Y107   8175        46072 SH                SOLE        45547   0       525
SPDR S&P MIDCAP 400 ETF TR      UTSER1 S&P DCRP     78467Y107    351         1978 SH                DEFINED      1978   0         0
SCHLUMBERGER LTD                                    806857108    955        11050 SH                SOLE        11050   0         0
SELECT SECTOR SPDR TR           SBI MATERIALS       81369Y100      5          130 SH                DEFINED       130   0         0
SELECT SECTOR SPDR TR           SBI MATERIALS       81369Y308    116         3725 SH                SOLE         1800   0      1925
SELECT SECTOR SPDR TR           SBI INT-INDS        81369Y704      5          135 SH                DEFINED       135   0         0
SELECT SECTOR SPDR TR           SBI INT-TECH        81369Y803   3556       138350 SH                SOLE       136750   0      1600
SELECT SECTOR SPDR TR           SBIINT-UTILS        81369Y886    192         5750 SH                SOLE         5600   0       150
SIGMA ALDRICH CORP              COM                 826552101    230         3130 SH                SOLE         3130   0         0
SOUTHERN CO                     COM                 842587107    384         9520 SH                SOLE         9520   0         0
SOUTHERN CO                     COM                 842587107     69         1720 SH                DEFINED      1720   0         0
SPECTRA ENERGY CORP             COM                 847560109     11          394 SH                SOLE          394   0         0
STAPLES INCORPORATED                                855030102     36         2250 SH                SOLE         2250   0         0
STATE STR CORP                  COM                 857477103     27          600 SH                SOLE          600   0         0
STRYKER CORP                    COM                 863667101      6          110 SH                SOLE          110   0         0
STRYKER CORP                    COM                 863667101      6          110 SH                DEFINED       110   0         0
SUN LIFE FINL INC               COM                 866796105     10          325 SH                SOLE          325   0         0
SYMANTEC CORP                   COM                 871503108     48         2455 SH                SOLE         2455   0         0
SYSCO CORP                      COM                 871829107     74         2375 SH                SOLE         2375   0         0
TARGET CORP                     COM                 87612E106    197         4200 SH                SOLE         4200   0         0
TENARIS S A                     SPONSORED ADR       88031M109     46         1000 SH                SOLE         1000   0         0
TEXAS INSTRS INC                COM                 882508104    177         5395 SH                SOLE         5395   0         0
THERMO FISHER SCIENTIFIC INC    COM                 883556102     17          258 SH                SOLE          258   0         0
3M CO                           COM                 88579Y101    133         1400 SH                SOLE         1250   0       150
3M CO                           COM                 88579Y101     38          400 SH                DEFINED       400   0         0
TOMPKINS TRUST CO INC           COM                 890110109    131         3341 SH                SOLE         3341   0         0
TRANS1 INC                      COM                 89385X105     35         7725 SH                SOLE         5675   0      2050
TRANS1 INC                      COM                 89385X105      9         1925 SH                DEFINED         0   0      1925
TRUSTCO BK CORP N Y             COM                 898349105      4          842 SH                DEFINED       842   0         0
UGI CORP NEW                    COM                 902681105      8          240 SH                SOLE          240   0         0
UIL HLDG CORP                   COM                 902748102     11          333 SH                SOLE          333   0         0
USEC INC                        COM                  9333E108     13         4000 SH                SOLE         4000   0         0
UNION PAC CORP                  COM                 907818108    425         4070 SH                SOLE         4070   0         0
UNION PAC CORP                  COM                 907818108      4           40 SH                DEFINED        40   0         0
UNITED PARCEL SERVICE INC       CL B                911312106     92         1260 SH                SOLE         1260   0         0
UNITED TECHNOLOGIES CORP        COM                 913017109    317         3585 SH                SOLE         3585   0         0
VANGUARD SPECIALIZED PORTFOL    DIV APP ETF         921908844  11378       203215 SH                SOLE       192990   0     10225
VANGUARD BD INDEX FD INC        TOTAL BND MRKT      921937835    403         4969 SH                SOLE         4969   0         0
VANGUARD BD INDEX FD INC        TOTAL BND MRKT      921937835    435         5364 SH                DEFINED      5364   0         0
VANGUARD HIGH DIVIDEND YIELD    ETF                 921946406     20          450 SH                SOLE          450   0         0
VANGUARD MSCI EMERGING          MARKETS ETF         922042858   2538        52215 SH                SOLE        52090   0       125
VANGUARD MSCI EMERGING          MARKETS ETF         922042858    204         4195 SH                DEFINED       195   0      4000
VANGUARD INDEX FDS              REIT ETF            922908553     32          525 SH                SOLE          525   0         0
VANGUARD INDEX FDS              MID CAP ETF         922908629    350         4358 SH                SOLE         4308   0        50
VANGUARD INDEX FDS              MID CAP ETF         922908629    169         2100 SH                DEFINED       100   0      2000
VERIZON COMMUNICATIONS          COM                 92343V104    819        21996 SH                SOLE        21646   0       350
VERIZON COMMUNICATIONS          COM                 92343V104     45         1206 SH                DEFINED      1206   0         0
VISA INC                        COM CL A            92826C839     74          875 SH                SOLE          875   0         0
VULCAN MATLS CO                 COM                 929160109     77         2000 SH                SOLE         2000   0         0
WD-40 CO                        COM                 929236107     16          400 SH                SOLE          400   0         0
WAL MART STORES INC             COM                 931142103    631        11870 SH                SOLE        11870   0         0
WALGREEN CO                     COM                 931422109    261         6150 SH                SOLE         5900   0       250
WASTE MGMT INC DEL              COM                 94106L109     11          300 SH                SOLE          300   0         0
WASTE MGMT INC DEL              COM                 94106L109     23          625 SH                DEFINED       625   0         0
WELLS FARGO & CO NEW            COM                 949746101    107         3799 SH                SOLE         3799   0         0
WESTERN ASSET MANAGED MUNI                          95766M105     33         2673                   SOLE         2673   0         0
WINDSTREAM CORP                 COM                 97381W104     14         1070 SH                SOLE         1070   0         0
WINDSTREAM CORP                 COM                 97381W104      1           59 SH                DEFINED        59   0         0
WISCONSIN ENERGY CORP           COM                 976657106     52         1650 SH                SOLE         1650   0         0
WISDOMTREE EQUTT INCOME FUND                        97717W208     12          300 SH                SOLE          300   0         0
WISDOMTREE TRUST                EMERG MKTS ETF      97717W315   2347        38500 SH                SOLE        37750   0       750
WISDOMTREE TRUST                INTL MIDCAP DV      97717W778     65         1200 SH                SOLE         1200   0         0
WISDOMTREE TRUST                INTL DV TOP100      97717W786     19          400 SH                SOLE          400   0         0
WISDOMTREE TR                   EM LCL DEBT FD      97717X867     27          500 SH                SOLE          500   0         0
YUM BRANDS INC                                      988498101     51          926 SH                SOLE          926   0         0
ZIMMER HLDGS INC                COM                 98956P102    138         2178 SH                SOLE         2178   0         0

GRAND TOTALS                                                  161825      3365147                             3291976   0     73171