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

                                    Form 13F

                              Form 13F COVER PAGE

Report for the Calendar Year or Quarter Ended: SEPTEMBER 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:   Chief Compliance Officer
Phone:   716-633-3800
Signature, Place, and Date of Signing:

Kathy Strohmeyer                   Williamsville, NY                    10/24/11
[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:             344

Form 13F Information Table Value Total:           $150,914
                                                 (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 : 09/30/2011

                           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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                                 

COOPER INDUSTRIES PLC           SHS           G24140108     5       100 SH      SOLE                           100     0           0
COOPER INDUSTRIES PLC           SHS           G24140108     5       100 SH      DEFINED                        100     0           0
INGERSOLL-RAND PLC              SHS           G47791101    37      1320 SH      DEFINED                       1320     0           0
TRANSOCEAN LTD                  REG SHS       H8817H100     8       177 SH      SOLE                           177     0           0
FLEXTRONICS INTL LTD            ORD           Y2573F102     1       200 SH      SOLE                           200     0           0
AFLAC INC                       COM             1055102     4       105 SH      SOLE                           105     0           0
AGL RES INC                     COM             1204106     8       200 SH      SOLE                           200     0           0
AES CORP                        COM           00130H105     8       833 SH      DEFINED                        833     0           0
ALPS ETF TR                     ALERIAN
                                MLP           00162Q866  1511     99134 SH      SOLE                         95281     0        3853
AT&T INC                        COM           00206R102  1314     46084 SH      SOLE                         46084     0           0
AT&T INC                        COM           00206R102   224      7838 SH      DEFINED                       7838     0           0
ABBOTT LABS                     COM             2824100   324      6329 SH      SOLE                          6329     0           0
AIR PRODS & CHEMS INC           COM             9158106   393      5150 SH      SOLE                          5150     0           0
ALCOA INC                       COM            13817101    36      3750 SH      SOLE                          3750     0           0
ALCATEL-LUCENT                  SPONSORED
                                ADR            13904305     1       190 SH      SOLE                           190     0           0
ALLIANT ENERGY CORP             COM            18802108    37       958 SH      SOLE                           958     0           0
ALTRIA GROUP INC                COM           02209S103   609     22708 SH      SOLE                         22708     0           0
ALTRIA GROUP INC                COM           02209S103    32      1200 SH      DEFINED                       1200     0           0
AMERICAN ELEC PWR INC           COM            25537101   134      3533 SH      SOLE                          3533     0           0
AMERICAN ELEC PWR INC           COM            25537101    27       720 SH      DEFINED                        720     0           0
AMERICAN EXPRESS CO             COM            25816109    11       250 SH      SOLE                           250     0           0
AMGEN INC                       COM            31162100   120      2175 SH      SOLE                          2175     0           0
AMGEN INC                       COM            31162100    55      1000 SH      DEFINED                       1000     0           0
ANALOG DEVICES INC              COM            32654105    23       750 SH      SOLE                           750     0           0
APACHE CORP                     COM            37411105    35       440 SH      SOLE                           440     0           0
APPLE INC                       COM            37833100  5992     15713 SH      SOLE                          2556     0       13157
APPLIED MATLS INC               COM            38222105    23      2200 SH      SOLE                          2200     0           0
AQUA AMERICA INC                COM           03836W103    22      1000 SH      SOLE                          1000     0           0
AUTOMATIC DATA PROCESSING IN    COM            53015103   438      9300 SH      SOLE                          9300     0           0
BP PLC                          SPONSORED
                                ADR            55622104    50      1400 SH      SOLE                          1400     0           0
BAKER HUGHES INC                COM            57224107    84      1830 SH      SOLE                          1680     0         150
BANK OF AMERICA CORPORATION     COM            60505104    54      8750 SH      SOLE                          8750     0           0
BANK OF NEW YORK MELLON CORP    COM            64058100   519     27939 SH      SOLE                         27939     0           0
BARCLAYS BANK PLC               SP ADR
                                7.1%PF3       06739H776   330     15600 SH      SOLE                         15600     0           0
BARCLAYS BANK PLC               SP ADR
                                7.1%PF3       06739H776    36      1700 SH      DEFINED                       1700     0           0
BARRICK GOLD CORP               COM            67901108    24       525 SH      SOLE                           150     0         375
BAXTER INTL INC                 COM            71813109   185      3300 SH      SOLE                          3300     0           0
BECTON DICKINSON & CO           COM            75887109   125      1700 SH      SOLE                          1700     0           0
BECTON DICKINSON & CO           COM            75887109     5        75 SH      DEFINED                         75     0           0
BERKSHIRE HATHAWAY INC DEL      CL B NEW       84670702    26       371 SH      SOLE                           371     0           0
BEST BUY INC                    COM            86516101     5       225 SH      SOLE                           225     0           0
BOEING CO                       COM            97023105   191      3150 SH      SOLE                          3150     0           0
BOEING CO                       COM            97023105    30       500 SH      DEFINED                        500     0           0
BRISTOL MYERS SQUIBB CO         COM           110122108   438     13949 SH      SOLE                         13949     0           0
BRISTOL MYERS SQUIBB CO         COM           110122108    25       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     6       204 SH      SOLE                           204     0           0
CVS CAREMARK/CORP               COM           126650100   205      6100 SH      SOLE                          6100     0           0
CATERPILLAR INC DEL             COM           149123101   163      2208 SH      SOLE                          2208     0           0
CENTERPOINT ENERGY INC          COM           15189T107    32      1627 SH      SOLE                          1627     0           0
CENTURYTEL INC                  COM           156700106    18       530 SH      SOLE                           530     0           0
CHEVRON CORP                    COM           166764100   198      2135 SH      SOLE                          2135     0           0
CHEVRON CORP                    COM           166764100    30       320 SH      DEFINED                        320     0           0
CHUBB CORP                      COM           171232101   283      4725 SH      SOLE                          4725     0           0
CIENA CORP                      COM NEW       171779309    16      1429 SH      SOLE                             0     0        1429
CISCO SYS INC                   COM           17275R102   148      9550 SH      SOLE                          9550     0           0
CITIGROUP INC                   COM           172967424    11       441 SH      SOLE                           441     0           0
CLOUGH GLOBAL OPPORTUNITIES     SH BEN
                                INT           18914E106    23      2213 SH      SOLE                          2213     0           0
COCA COLA CO                    COM           191216100  1193     17664 SH      SOLE                         17664     0           0
COCA COLA CO                    COM           191216100   217      3215 SH      DEFINED                       3215     0           0
COLGATE PALMOLIVE CO            COM           194162103   357      4025 SH      SOLE                          4025     0           0
COLGATE PALMOLIVE CO            COM           194162103   157      1768 SH      DEFINED                       1768     0           0
COMCAST CORP                    COM           20030N101   110      5281 SH      SOLE                          5281     0           0
COMMUNITY BK SYS INC            COM           203607106 10320    455028 SH      SOLE                        455028     0           0
COMMUNITY BK SYS INC            COM           203607106   801     35320 SH      DEFINED                      35320     0           0
CONOCOPHILLIPS                  COM           20825C104    94      1485 SH      SOLE                          1485     0           0
CONOCOPHILLIPS                  COM           20825C104    25       395 SH      DEFINED                        395     0           0
CONSOLIDATED EDISON INC         COM           209115104   168      2955 SH      SOLE                          2955     0           0
CONSTELLATION BRANDS INC        CL A          21036P108    29      1600 SH      SOLE                          1600     0           0
CONSTELLATION BRANDS INC        CL A          21036P108    51      2846 SH      DEFINED                       2846     0           0
CORNING INC                     COM           219350105   139     11256 SH      SOLE                         11256     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    65       800 SH      SOLE                           800     0           0
CURTISS WRIGHT CORP             COM           231561101    23       800 SH      SOLE                           800     0           0
DEERE & CO                      COM           244199105    15       239 SH      SOLE                           239     0           0
DELL INC                                      24702R101     8       550 SH      SOLE                           550     0           0
DISNEY WALT CO                  COM
                                DISNEY        254687106   243      8044 SH      SOLE                          8044     0           0
DOMINION RES INC VA NEW         COM           25746U109   164      3238 SH      SOLE                          3238     0           0
DOMINION RES INC VA NEW         COM           25746U109    15       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    52      2332 SH      SOLE                          2332     0           0
DU PONT E I DE NEMOURS & CO     COM           263534109   230      5742 SH      SOLE                          5742     0           0
DU PONT E I DE NEMOURS & CO     COM           263534109     8       200 SH      DEFINED                        200     0           0
DUKE ENERGY CORP NEW            COM           26441C105    57      2850 SH      SOLE                          2450     0         400
E M C CORP MASS                 COM           268648102   137      6525 SH      SOLE                          6525     0           0
EASTMAN CHEM CO                 COM           277432100    12       179 SH      SOLE                           179     0           0
EASTMAN KODAK CO                COM           277461109     0       222 SH      SOLE                           222     0           0
EATON CORP                      COM           278058102     6       160 SH      DEFINED                        160     0           0
EL PASO CORP                                  28336L109    57      3250 SH      SOLE                           250     0        3000
ELAN PLC                        ADR           284131208     0        19 SH      SOLE                            19     0           0
EMERSON ELEC CO                 COM           291011104   488     11810 SH      SOLE                         11810     0           0
ENTERPRISE PRODS PARTNERS L     COM           293792107     8       200 SH      DEFINED                        200     0           0
EXELON CORP                     COM           30161N101    18       432 SH      SOLE                           432     0           0
EXELON CORP                     COM           30161N101    34       800 SH      DEFINED                        800     0           0
EXXON MOBIL CORP                COM           30231G102  2788     38381 SH      SOLE                         38381     0           0
EXXON MOBIL CORP                COM           30231G102   207      2844 SH      DEFINED                       2844     0           0
FNB CORP PA                     COM           302520101    30      3454 SH      SOLE                          3454     0           0
FIRST TR ISE REVERE NAT GAS     COM           33734J102     4       225 SH      DEFINED                        225     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
FOREST LABS INC                 COM           345838106     3       110 SH      SOLE                             0     0         110
FREEPORT-MCMORAN COPPER & GO    COM           35671D857     4       140 SH      DEFINED                        140     0           0
FRONTIER COMMUNICATIONS CORP    COM           35906A108     1       193 SH      SOLE                           193     0           0
FRONTIER COMMUNICATIONS CORP    COM           35906A108     1       117 SH      DEFINED                        117     0           0
GENERAL DYNAMICS CORP           COM           369550108    11       200 SH      SOLE                           200     0           0
GENERAL ELEC CO                 COM           369604103  3210    210915 SH      SOLE                        206815     0        4100
GENERAL ELEC CO                 COM           369604103   126      8291 SH      DEFINED                       8291     0           0
GENERAL MLS INC                 COM           370334104   165      4300 SH      SOLE                          4300     0           0
GENERAL MLS INC                 COM           370334104    74      1920 SH      DEFINED                       1920     0           0
GENESEE & WYO INC               CL A          371559105     5       100 SH      DEFINED                        100     0           0
GENUINE PARTS CO                COM           372460105    23       450 SH      SOLE                           450     0           0
GLAXOSMITHKLINE PLC             SPONSORED
                                ADR           37733W105   150      3641 SH      SOLE                          3641     0           0
GOLDMAN SACHS GROUP INC         COM           38141G104    14       150 SH      SOLE                           150     0           0
GOOGLE INC                      CL A          38259P508    44        85 SH      SOLE                            85     0           0
HCP INC                         COM           40414L109    18       520 SH      SOLE                           520     0           0
HSBC HLDGS PLC                  ADR A
                                1/40PF A      404280604    46      2000 SH      SOLE                          2000     0           0
HARSCO CORP                                   415864107   310     16000 SH      SOLE                         16000     0           0
HARTFORD FINL SVCS GROUP INC    COM           416515104    23      1400 SH      DEFINED                       1400     0           0
HEINZ H J CO                    COM           423074103   270      5345 SH      SOLE                          5345     0           0
HEWLETT PACKARD CO              COM           428236103   161      7150 SH      SOLE                          7150     0           0
HEWLETT PACKARD CO              COM           428236103     8       360 SH      DEFINED                        360     0           0
HOME DEPOT INC                  COM           437076102   134      4088 SH      SOLE                          4088     0           0
HONEYWELL INTL INC              COM           438516106   148      3360 SH      SOLE                          3360     0           0
ITT CORP NEW                    COM           450911102    34       800 SH      DEFINED                        800     0           0
ILLINOIS TOOL WKS INC           COM           452308109   389      9350 SH      SOLE                          9350     0           0
INTEL CORP                      COM           458140100  1036     48565 SH      SOLE                         48315     0         250
INTEL CORP                      COM           458140100   196      9200 SH      DEFINED                       9200     0           0
INTEGRYS ENERGY GROUP INC       COM           45822P105    34       700 SH      DEFINED                        700     0           0
INTL BUSINESS MACH              COM           459200101   688      3933 SH      SOLE                          3933     0           0
INTL BUSINESS MACH              COM           459200101   178      1019 SH      DEFINED                       1019     0           0
INTERNATIONAL GAME TECHNOLOG    COM           459902102    36      2500 SH      SOLE                          2500     0           0
ISHARES SILVER TRUST            ISHARES       46428Q109    22       750 SH      SOLE                           750     0           0
ISHARES INC                     MSCI
                                AUSTRALIA     464286103   215     10700 SH      SOLE                          2600    0         8100
ISHARES INC                     MSCI
                                BRAZIL        464286400   246      4725 SH      SOLE                          1175    0         3550
ISHARES INC                     MSCI CDA
                                INDEX         464286509   794     31164 SH      SOLE                         19614    0        11550
ISHARES INC                     MSCI CDA
                                INDEX         464286509    90      3550 SH      DEFINED                       1550    0         2000
ISHARES INC                     MSCI
                                THAILAND      464286624   280      5250 SH      SOLE                          1225    0         4025
ISHARES INC                     MSCI PACJ
                                IDX           464286665    28       750 SH      SOLE                           750    0            0
ISHARES INC                     MSCI
                                PAC J IDX     464286665     6       150 SH      DEFINED                        150    0            0
ISHARES INC                     MSCI
                                SINGAPORT     464286673   213     19350 SH      SOLE                          4700    0        14650
ISHARES INC                     MSCI
                                TURKEY FD     464286715   367      7725 SH      SOLE                          1650    0         6075
ISHARES INC                     MSCI
                                TAIWAN        464286731   193     16375 SH      SOLE                          3950    0        12425
ISHARES INC                     MSCI
                                S KOREA       464286772   275      5900 SH      SOLE                          1200    0         4700
ISHARES TR                      DJ SEL
                                DIV INX       464287168  3935     81565 SH      SOLE                         71530    0        10035
I SHARES BARCLAYS TIPS BOND     FUND          464287176   534      4668 SH      SOLE                          3877    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     6        50 SH      SOLE                             0    0           50
I SHARES MSCI EMERGING MKTS     INDEX FUND    464287234  1202     34269 SH      SOLE                         16269    0        18000
I SHARES MSCI EMERGING MKTS     INDEX FUND    464287234     4       115 SH      DEFINED                        115    0            0
ISHARES TR                      IBOXX INV
                                CPBD          464287242    86       770 SH      SOLE                           770    0            0
ISHARES TR                      IBOXX INV
                                CPBD          464287242   158      1405 SH      DEFINED                       1405    0            0
ISHARES TR                      S&P GBL
                                HLTHCR        464287325  2190     42165 SH      SOLE                         34065    0         8100
ISHARES TR                      S&P GBL
                                HLTHCR        464287325    97      1875 SH      DEFINED                          0    0         1875
ISHARES TR                      1-3 YR
                                TRS BD        464287457   285      3366 SH      SOLE                          3366    0            0
ISHARES TR                      1-3 YR
                                TRS BD        464287457    55       650 SH      DEFINED                        650    0            0
I SHARES MSCI EAFE                            464287465 10648    222904 SH      SOLE                        208389    0        14515
I SHARES MSCI EAFE                            464287465   425      8905 SH      DEFINED                       3905    0         5000
I SHARES RUSSELL 1000 VALUE                   464287598  8733    154313 SH      SOLE                        139788    0        14525
I SHARES RUSSELL 1000 VALUE                   464287598   470      8310 SH      DEFINED                       3810    0         4500
ISHARES TR RUSSELL 1000         GROWTH
                                INDEX FUND    464287614 10174    193488 SH      SOLE                        175688    0        17800
ISHARES TR RUSSELL 1000         GROWTH
                                INDEX FUND    464287614   572     10877 SH      DEFINED                       5377    0         5500
ISHARES TR                      RUSL 2000
                                VALU          464287630   112      1965 SH      SOLE                          1965    0            0
ISHARES TR                      DJ US UT      464287697           33400 SH      SOLE                           400    0            0
ISHARES TR                      S&P SMLCAP
                                600           464287804  5316     90809 SH      SOLE                         81819    0         8990
ISHARES TR                      S&P SMLCAP
                                600           464287804   302      5154 SH      DEFINED                       3154    0         2000
ISHARES TR                      JPMORGAN
                                USD           464288281  1054     10000 SH      SOLE                         10000    0            0
ISHARES TR                      HIGH YLD
                                CORP          464288513  1947     23500 SH      SOLE                         23500    0            0
ISHARES TR                      MRTG PLS
                                CAP IDX       464288539     9       700 SH      SOLE                           700    0            0
ISHARES TR                      BARCLYS
                                1-3 YR CR     464288646  2725     26204 SH      SOLE                         26204    0            0
ISHARES TR                      BARCLYS
                                1-3 YR CR     464288646     5        52 SH      DEFINED                         52    0            0
ISHARES TR                      US PFD STK
                                IDX           464288687  1303     36600 SH      SOLE                         36500    0          100
ISHARES TR                      US PFD STK
                                IDX           464288687    10       270 SH      DEFINED                        270    0            0
ISHARES TR                      DJ MED
                                DEVICES       464288810     6       100 SH      DEFINED                        100    0            0
ISHARES TR                      DJ OIL&GAS
                                EXP           464288851     4        85 SH      DEFINED                         85    0            0
ISHARES TR                      MSCI PERU
                                CAP           464289842   138      3925 SH      SOLE                             0    0         3925
ISHARES TR                      HGH DIV
                                EQT FD        46429B663   832     16665 SH      SOLE                         13740    0         2925
JDS UNIPHASE CORP               COM PAR
                                $0.00         46612J507    25      2500 SH      SOLE                             0    0         2500
JP MORGAN CHASE & CO            COM           46625H100   241      7995 SH      SOLE                          7995    0            0
JP MORGAN CHASE & CO            COM           46625H100    14       473 SH      DEFINED                        473    0            0
JAZZ PHARMACEUTICALS INC        COM           472147107     4       100 SH      DEFINED                        100    0            0
JOHNSON & JOHNSON               COM           478160104  1384     21727 SH      SOLE                         21727    0            0
JOHNSON & JOHNSON               COM           478160104   150      2360 SH      DEFINED                       2360    0            0
KELLOGG CO                      COM           487836108    27       500 SH      SOLE                           500    0            0
KEYCORP NEW                     COM           493267108    32      5318 SH      SOLE                          5318    0            0
KIMBERLY CLARK CORP             COM           494368103     7       100 SH      DEFINED                        100    0            0
KIMCO RLTY CORP                 COM           49446R109     8       559 SH      SOLE                           559    0            0
KINDER MORGAN ENERGY PARTNER    UT LTD
                                PARTNER       494550106    10       150 SH      DEFINED                        150    0            0
KRAFT FOODS INC                 CL A          50075N104   204      6064 SH      SOLE                          6064    0            0
KRAFT FOODS INC                 CL A          50075N104    38      1139 SH      DEFINED                       1139    0            0
LSI LOGIC CORP                  COM           502161102     0        30 SH      SOLE                            30    0            0
LAZARD WORLD DIVID & INCOME     COM           521076109    19      1660 SH      DEFINED                       1660    0            0
LILLY ELI & CO                  COM           532457108    55      1500 SH      SOLE                          1500    0            0
LINCOLN NATL CORP IND           COM           534187109    64      4091 SH      SOLE                          4091    0            0
LOCKHEED MARTIN CORP            COM           539830109   287      3950 SH      SOLE                          3950    0            0
LOWES COS INC                   COM           548661107   103      5330 SH      SOLE                          5330    0            0
MACYS INC                       COM           55616P104     7       250 SH      SOLE                             0    0          250
MAGELLAN MIDSTREAM PRTNRS LP    COM UNIT
                                RP LP         559080106     5        79 SH      DEFINED                         79    0            0
MANULIFE FINL CORP              COM           56501R106    20      1748 SH      SOLE                          1748    0            0
MARATHON OIL CORP                             565849106    17       788 SH      SOLE                           788    0            0
MARATHON PETE CORP              COM           56585A102     5       180 SH      SOLE                           180    0            0
MARKET VECTORS ETF TR           MV STEEL
                                INDEX         57060U308     6       150 SH      SOLE                           150    0            0
MARKET VECTORS ETF TR           RUSSIA ETF    57060U506   110      4350 SH      SOLE                           825    0         3525
MARKET VECTORS ETF TR           AGRIBUS
                                ETF           57060U605     4       100 SH      SOLE                             0    0          100
MARKET VECTORS ETF TR           VIETNAM
                                ETF           57060U761   184     10650 SH      SOLE                          2075    0         8575
MCDONALDS CORP                  COM           580135101   766      8719 SH      SOLE                          8719    0            0
MEDTRONIC INC                   COM           585055106   248      7450 SH      SOLE                          7450    0            0
MEDTRONIC INC                   COM           585055106    82      2460 SH      DEFINED                       2460    0            0
MERCK & CO INC NEW              COM           58933Y105   429     13110 SH      SOLE                         13110    0            0
MERCK & CO INC NEW              COM           58933Y105   170      5201 SH      DEFINED                       5201    0            0
MICROSOFT CORP                  COM           594918104   809     32530 SH      SOLE                         25086    0         7444
MICROSOFT CORP                  COM           594918104   152      6100 SH      DEFINED                       6100    0            0
MONSANTO CO (NEW)                             61166W101     1        14 SH      SOLE                            14    0            0
MONSANTO CO (NEW)                             61166W101     4        70 SH      DEFINED                         70    0            0
MORGAN STANLEY                  COM NEW       617446448    14      1000 SH      SOLE                          1000    0            0
MORGAN STANLEY INDIA INVS FD    COM           61745C105   238     14200 SH      SOLE                          2150    0        12050
MYLAN LABS INC                  COM           628530107     4       225 SH      SOLE                           225    0            0
NCR CORP NEW                    COM           62886E108     1        50 SH      SOLE                            50    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    82      1685 SH      DEFINED                       1685    0            0
NEUBERGER BERMAN NY INT MUN     COM           64124K102   124      8871 SH      SOLE                          8871    0            0
NEW YORK CMNTY BANCORP INC      COM           649445103     6       475 SH      DEFINED                        475    0            0
NEXTERA ENERGY INC              COM           65339F101    57      1050 SH      SOLE                           900    0          150
NOKIA CORP                      SPONSORED
                                ADR           654902204    53      9400 SH      SOLE                          9400    0            0
NORFOLK SOUTHERN CORP           COM           655844108    84      1382 SH      SOLE                          1382    0            0
NORWOOD FINANCIAL CORP          COM           669549107    33      1365 SH      SOLE                          1365    0            0
NUCOR CORP                      COM           670346105    41      1300 SH      SOLE                          1300    0            0
NUVEEN PREFERRED AND            CONVERTIBLE
                                INCOME        67073B106     8      1000 SH      SOLE                          1000    0            0
OGE ENERGY CORP                 COM           670837103    29       600 SH      DEFINED                        600    0            0
OCCIDENTAL PETE CORP DEL        COM           674599105    20       279 SH      SOLE                           179    0          100
OCLARO INC                      COM NEW       67555N206     0        35 SH      SOLE                            35    0            0
OMNICOM GROUP INC               COM           681919106    17       450 SH      SOLE                           450    0            0
ORACLE CORP                     COM           68389X105   129      4480 SH      SOLE                          4480    0            0
PPG INDS INC                    COM           693506107   154      2177 SH      SOLE                          2177    0            0
PPL CORP                        COM           69351T106   248      8680 SH      SOLE                          8680    0            0
PAYCHEX INC                     COM           704326107    17       661 SH      SOLE                           661    0            0
PAYCHEX INC                     COM           704326107     8       312 SH      DEFINED                        312    0            0
PENNEY J C INC                  COM           708160106    27      1000 SH      SOLE                          1000    0            0
PEPSICO INC                     COM           713448108   761     12295 SH      SOLE                         12295    0            0
PEPSICO INC                     COM           713448108   161      2600 SH      DEFINED                       2600    0            0
PFIZER INC                      COM           717081103   802     45368 SH      SOLE                         45168    0          200
PFIZER INC                      COM           717081103    25      1400 SH      DEFINED                       1400    0            0
PHILIP MORRIS INTL INC          COM           718172109    33       523 SH      SOLE                           523    0            0
PHILIP MORRIS INTL INC          COM           718172109    75      1200 SH      DEFINED                       1200    0            0
PINNACLE WEST CPTLCORP                        723484101   209      4875 SH      SOLE                          4875    0            0
PLUM CREEK TIMBER CO INC        COM           729251108    10       274 SH      DEFINED                        274    0            0
POWERSHARES DB CMDTY IDX TRA    UNIT BENINT   73935S105  1775     68921 SH      SOLE                         58646    0        10275
POWERSHARES ETF TRUST           HLTHCR SEC
                                POR           73935X351     4       150 SH      DEFINED                        150    0            0
POWERSHARES ETF TRUST           BASIC MAT
                                SECT          73935X427     4       140 SH      DEFINED                        140    0            0
POWERSHARES ETF TRUST           WATER
                                RESOURCE      73935X575     1        50 SH      SOLE                            50    0            0
POWERSHARES ETF TRUST           FTSE RAFL
                                1000          73935X583    41       840 SH      SOLE                           840    0            0
POWERSHS DB US DOLLAR INDEX     DOLL INDX
                                BULL          73936D107  1652     74100 SH      SOLE                         74100    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   555     19250 SH      SOLE                         16050    0         3200
PRAXAIR INC                     COM           74005P104   169      1812 SH      SOLE                          1812    0            0
PROCTER & GAMBLE CO             COM           742718109   772     12221 SH      SOLE                         12221    0            0
PROGRESS ENERGY INC             COM           743263105    68      1311 SH      SOLE                          1311    0            0
PROGRESSIVE CORP OHIO           COM           743315103    36      2000 SH      SOLE                          2000    0            0
PRUDENTIAL FINL INC             COM           744320102    14       304 SH      SOLE                           304    0            0
QUALCOMM INC                    COM           747525103   231      4760 SH      SOLE                          4760    0            0
RAYTHEON CO                     COM NEW       755111507    41      1000 SH      SOLE                          1000    0            0
RITE AID CORP                   COM           767754104     5      5000 SH      SOLE                          5000    0            0
ROCKWELL COLLINS INC                          774341101   199      3775 SH      SOLE                          3775    0            0
ROYAL DUTCH SHELL PLC           SPONS
                                ADR A         780259206   357      5810 SH      SOLE                          5810    0            0
SPDR S&P 500 ETF TRUST                        78462F103  3067     27103 SH      SOLE                         27103    0            0
SPDR S&P 500 ETF TRUST                        78462F103   131      1154 SH      DEFINED                       1154    0            0
SPDR GOLD TRUST                 GOLD SHS      78463V107    54       340 SH      SOLE                           340    0            0
SPDR GOLD TRUST                 GOLD SHS      78463V107    20       127 SH      DEFINED                        127    0            0
SPDR INDEX SHS FDS              S&P INTL
                                ETF           78463X772    26       575 SH      SOLE                           575    0            0
SPDR INDEX SHS FDS              MACQU
                                GLBIN100      78463X855     2        50 SH      SOLE                            50    0            0
SPDR SERIES TRUST               BRCLYS CAP
                                CONV          78464A359  1166     32735 SH      SOLE                         32605    0          130
SPDR SERIES TRUST               LEHMAN YLD
                                ETF           78464A417  2537     70125 SH      SOLE                         59850    0        10275
SPDR SERIES TRUST               LEHMAN YLD
                                ETF           78464A417   128      3525 SH      DEFINED                       1050    0         2475
SPDR SERIES TRUST               OILGAS
                                EQUIP         78464A748     4       150 SH      DEFINED                        150    0            0
SPDR SERIES TRUST               S&P METALS
                                MNG           78464A755     8       175 SH      DEFINED                        175    0            0
SPDR SERIES TRUST               S&P DIVID
                                ETF           78464A763    15       300 SH      SOLE                           300    0            0
SPDR S&P MIDCAP 400 ETF TR      UTSER1
                                S&PDCRP       78467Y107  6589     46362 SH      SOLE                         43312    0         3050
SPDR S&P MIDCAP 400 ETF TR      UTSER1
                                S&PDCRP       78467Y107   283      1994 SH      DEFINED                       1994    0            0
SCHLUMBERGER LTD                              806857108   660     11050 SH      SOLE                         11050    0            0
SELECT SECTOR SPDR TR           SBI
                                MATERIALS     81369Y100     4       130 SH      DEFINED                        130    0            0
SELECT SECTOR SPDR TR           SBI
                                CONSSTPLS     81369Y308   110      3725 SH      SOLE                          1800    0         1925
SELECT SECTOR SPDR TR           SBI
                                INT-TECH      81369Y803   439     18625 SH      SOLE                          5975    0        12650
SELECT SECTOR SPDR TR           SBI
                                INT-UTILS     81369Y886    88      2625 SH      SOLE                          2625    0            0
SIGMA ALDRICH CORP              COM           826552101   193      3130 SH      SOLE                          3130    0            0
SOUTHERN CO                     COM           842587107   398      9395 SH      SOLE                          9395    0            0
SOUTHERN CO                     COM           842587107    70      1645 SH      DEFINED                       1645    0            0
SPECTRA ENERGY CORP             COM           847560109    10       394 SH      SOLE                           394    0            0
STAPLES INCORPORATED                          855030102    30      2250 SH      SOLE                          2250    0            0
STATE STR CORP                  COM           857477103    32      1000 SH      SOLE                          1000    0            0
STRYKER CORP                    COM           863667101     5       110 SH      SOLE                           110    0            0
SYMANTEC CORP                   COM           871503108    40      2455 SH      SOLE                          2455    0            0
SYSCO CORP                      COM           871829107    61      2375 SH      SOLE                          2375    0            0
TARGET CORP                     COM           87612E106   206      4200 SH      SOLE                          4200    0            0
TENARIS S A                     SPONSORED
                                ADR           88031M109    25      1000 SH      SOLE                          1000    0            0
TERADATA CORP DEL               COM           88076W103     3        50 SH      SOLE                            50    0            0
TEXAS INSTRS INC                COM           882508104   144      5395 SH      SOLE                          5395    0            0
THERMO FISHER SCIENTIFIC INC    COM           883556102    13       258 SH      SOLE                           258    0            0
3M CO                           COM           88579Y101   101      1400 SH      SOLE                          1250    0          150
3M CO                           COM           88579Y101    29       400 SH      DEFINED                        400    0            0
TOMPKINS TRUST CO INC           COM           890110109   120      3341 SH      SOLE                          3341    0            0
TRANSCANADA CORP                COM           89353D107     4       100 SH      DEFINED                        100    0            0
TRANS1 INC                      COM           89385X105    23      7725 SH      SOLE                          5675    0         2050
TRANS1 INC                      COM           89385X105     6      1925 SH      DEFINED                          0    0         1925
TRAVELERS COMPANIES INC         COM           89417E109   551     11300 SH      SOLE                         11300    0            0
TRUSTCO BK CORP N Y             COM           898349105     4       842 SH      DEFINED                        842    0            0
UIL HLDG CORP                   COM           902748102    11       333 SH      SOLE                           333    0            0
USEC INC                        COM            9333E108     6      4000 SH      SOLE                          4000    0            0
UNION PAC CORP                  COM           907818108   331      4050 SH      SOLE                          4050    0            0
UNION PAC CORP                  COM           907818108     3        40 SH      DEFINED                         40    0            0
UNITED PARCEL SERVICE INC       CL B          911312106    80      1260 SH      SOLE                          1260    0            0
UNITED TECHNOLOGIES CORP        COM           913017109   252      3585 SH      SOLE                          3585    0            0
VANGUARD SPECIALIZED PORTFOL    DIV APP
                                ETF           921908844  9292    190605 SH      SOLE                        165255    0        25350
VANGUARD BD INDEX FD INC        TOTAL BND
                                MRKT          921937835   934     11152 SH      SOLE                         11152    0            0
VANGUARD BD INDEX FD INC        TOTAL BND
                                MRKT          921937835   449      5364 SH      DEFINED                       5364    0            0
VANGUARD HIGH DIVIDEND YIELD    ETF           921946406    18       450 SH      SOLE                           450    0            0
VANGUARD MSCI EMERGING          MARKETS
                                ETF           922042858  2059     57495 SH      SOLE                         47170    0        10325
VANGUARD MSCI EMERGING          MARKETS
                                ETF           922042858   150      4195 SH      DEFINED                        195    0         4000
VANGUARD INDEX FDS              REIT ETF      922908553    34       675 SH      SOLE                           675    0            0
VANGUARD INDEX FDS              MID CAP
                                ETF           922908629   289      4433 SH      SOLE                          2683    0         1750
VANGUARD INDEX FDS              MID CAP
                                ETF           922908629   137      2100 SH      DEFINED                        100    0         2000
VERIZON COMMUNICATIONS          COM           92343V104  1414     38425 SH      SOLE                         38075    0          350
VERIZON COMMUNICATIONS          COM           92343V104    44      1206 SH      DEFINED                       1206    0            0
VISA INC                        COM CL A      92826C839    66       775 SH      SOLE                           775    0            0
VISTEON CORP                    COM NEW       92839U206     0         1 SH      SOLE                             1    0            0
VODAFONE GROUP PLC NEW          SPONS ADR
                                NEW           92857W209    58      2270 SH      SOLE                          2270    0            0
VULCAN MATLS CO                 COM           929160109    69      2500 SH      SOLE                          2500    0            0
WD-40 CO                        COM           929236107    16       400 SH      SOLE                           400    0            0
WAL MART STORES INC             COM           931142103  1097     21140 SH      SOLE                         21140    0            0
WALGREEN CO                     COM           931422109   202      6150 SH      SOLE                          5900    0          250
WASTE MGMT INC DEL              COM           94106L109    10       300 SH      SOLE                           300    0            0
WASTE MGMT INC DEL              COM           94106L109    20       625 SH      DEFINED                        625    0            0
WELLS FARGO & CO NEW            COM           949746101    92      3799 SH      SOLE                          3799    0            0
WESTERN ASSET MANAGED MUNI                    95766M105    35      2673         SOLE                          2673    0            0
WINDSTREAM CORP                 COM           97381W104    10       845 SH      SOLE                           845    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 TS ETF    97717W315  2302     48625 SH      SOLE                         40275    0         8350
WISDOMTREE TRUST                INTL MID
                                CAP DV
                                CAP DV        97717W778    51      1200 SH      SOLE                           200    0         1000
WISDOMTREE TRUST                INTL DV
                                TOP100
                                TOP100        97717W786    61      1600 SH      SOLE                           200    0         1400
WISDOMTREE TR                   EM LCL D
                                EBT FD
                                EBT FD        97717X867  1819     37800 SH      SOLE                         37700    0          100
XEROX CORP                      COM           984121103     9      1225 SH      SOLE                          1225    0            0
YUM BRANDS INC                                988498101    46       926 SH      SOLE                           926    0            0
ZIMMER HLDGS INC                COM           98956P102   114      2138 SH      SOLE                          2138    0            0

GRAND TOTALS                                           150914      3670670                                 3318666    0       352004