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

                                   Form 13F/A

                              Form 13F COVER PAGE

Report for the Calendar Year or Quarter Ended: SEPTEMBER 30, 2011

Check here if Amendment [X];     Amendment Number: ___
This Amendment (Check only one.):           [   ] is a restatement.
                                            [ X ] adds new holdings entries.
                                                  HOLDINGS ARE NEW DUE TO
                                                  RECENT MERGER WITH ONEONTA
                                                  BANK. THESE ARE IN ADDITION
                                                  TO THE HOLDINGS ALREADY FILED.

Institutional Investment Manager Filing this Report:
Name:            COMMUNITY BANK N.A./ONEONTA MERGER
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                    10/26/11
[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:             395

Form 13F Information Table Value Total:           $152,045
                                                 (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



                                                       VALUE       SHARES/        INVESTMENT DESCRETION         VOTING AUTHORITY
NAME OF ISSUER                  TYPE       CUSIP     (X$1000)     PRN AMT       SOLE    SHARED  OTHER       SOLE    SHARED     NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                                 


ACCO Brands Corporation         Equity      00081T108       3,587        752       752         0   0         752      0           0
AER Energy Res Inc New          Equity      000944207           1         50        50         0   0          50      0           0
AT&T Inc                        Equity      00206R102   2,884,142    101,127    80,273    20,854   0      96,177      0       4,950
Abbott Laboratories             Equity      002824100   2,173,808     42,507    36,057     6,450   0      41,057      0       1,450
Advanced Micro Devices Inc      Equity      007903107       1,016        200       200         0   0         200      0           0
Aetna US Healthcare             Equity      00817y108      36,340      1,000         0     1,000   0           0      0       1,000
Air Products & Chemicals Inc    Equity      009158106      22,911        300       300         0   0         300      0           0
Alcoa Inc                       Equity      013817101       7,656        800       700       100   0         800      0           0
Alcatel Lucent                  Equity      013904305          25          9         9         0   0           9      0           0
Allstate Corp                   Equity      020002101      12,603        532       532         0   0         532      0           0
Alpha Natural Res Inc           Equity      02076X102       1,911        108         0       108   0         108      0           0
Altria Group Inc                Equity      02209S103      25,470        950       200       750   0         950      0           0
American Express Co             Equity      025816109       8,980        200         0       200   0         200      0           0
American Int'l Group Wrts Exp
  01/19/21                      Equity      026874156          86         14         4        10   0          14      0           0
American Int'l Group Inc        Equity      026874784         593         27         7        20   0          27      0           0
MLP Amerigas Partners LP        Equity      030975106      96,778      2,200     1,100     1,100   0       2,200      0           0
Amgen Inc                       Equity      031162100     603,900     10,988     9,388     1,600   0      10,988      0           0
Anadarko Petroleum Corp         Equity      032511107      37,830        600       600         0   0         600      0           0
Anheuser Busch Cos Inc
  5.000% 01/15/15                           035229CY7     277,073    250,000   200,000    50,000   0     250,000      0           0
Annaly Capital Management Inc   Equity      035710409      18,293      1,100     1,100         0   0       1,100      0           0
Apache Corp                     Equity      037411105      10,030        125       125         0   0         125      0           0
Apple Computer Inc              Equity      037833100      43,852        115       115         0   0         115      0           0
Applied Materials Inc           Equity      038222105      32,101      3,100     3,100         0   0       3,100      0           0
Arrow Financial Corp            Equity      042744102         160          7         7         0   0           7      0           0
Astoria Financial Corp          Equity      046265104     129,961     16,900    13,300     3,600   0      16,900      0           0
Autoliv Inc                     Equity      052800109      14,890        307       307         0   0         307      0           0
Automatic Data Processing Inc   Equity      053015103   1,778,875     37,728    31,528     6,200   0      37,528      0         200
BB&T Corp                       Equity      054937107     186,104      8,725     7,675     1,050   0       8,725      0           0
BFC Financial Corp              Equity      055384200           9         28        28         0   0          28      0           0
BP PLC ADR                      Equity      055622104       4,761        132         0       132   0         132      0           0
Ballston Spa Bancorp Inc        Equity      058701103      31,000      1,000     1,000         0   0       1,000      0           0
Bank of America Corp            Equity      060505104      82,926     13,550     9,700     3,850   0      13,550      0           0
Bank New York Mellon Corp       Equity      064058100      31,603      1,700     1,700         0   0       1,700      0           0
Bank Atlantic Bancorp Inc
  Cl A New                      Equity      065908600         135        218       218         0   0         218      0           0
The Banker's Store Inc
  (Restricted)                  Equity      06631K109           1         50        50         0   0          50      0           0
Baseline Oil & Gas Corp         Equity      069827103           9      1,750     1,750         0   0       1,750      0           0
Baxter International Inc        Equity      071813109      11,228        200         0       200   0         200      0           0
Becton, Dickinson & Co          Equity      075887109     289,614      3,950     1,450     2,500   0       3,950      0           0
Bemis Co Inc                    Equity      081437105     908,610     31,000    22,450     8,550   0      30,550      0         450
Berkshire Hathaway Class B      Equity      084670702      48,449        682       372       310   0         682      0           0
Berkshire Hills Bancorp Inc     Equity      084680107      20,816      1,127         0     1,127   0       1,127      0           0
Best Buy Inc                    Equity      086516101      18,640        800       800         0   0         800      0           0
Blackrock Muniholdings NY
  Insd Fd                       Equity      09255C106      54,917      3,835     3,835         0   0       3,835      0           0
Boeing Co                       Equity      097023105      39,332        650       500       150   0         650      0           0
Bristol Myers Squibb Co         Equity      110122108   1,800,365     57,373    39,770    17,603   0      55,173      0       2,200
Broadridge Financial Solutions
  Inc                           Equity      11133T103       9,063        450         0       450   0         450      0           0
MLP Buckeye Partners LP         Equity      118230101      12,502        200         0       200   0         200      0           0
CME Group Inc                   Equity      12572Q105       6,160         25        25         0   0          25      0           0
Cardinal Health Inc             Equity      14149Y108       6,282        150       150         0   0         150      0           0
Caterpillar Inc                 Equity      149123101     110,760      1,500       500     1,000   0       1,500      0           0
Cenovus Energy Inc              Equity      15135U109       4,852        158       158         0   0         158      0           0
CenterPoint Energy Inc          Equity      15189T107       1,962        100       100         0   0         100      0           0
NY Chappaqua CSD
  4.125% 01/15/17                           159555GU9     581,360    575,000   375,000   200,000   0     575,000      0           0
Chesapeake Energy Corp          Equity      165167107      29,178      1,142     1,142         0   0       1,142      0           0
Chevron Corp                    Equity      166764100   2,562,428     27,675    20,725     6,950   0      27,525      0         150
Chubb Corp                      Equity      171232101     242,960      4,050     2,450     1,600   0       4,050      0           0
Cisco Systems Inc               Equity      17275R102     677,381     43,702    33,302    10,400   0      41,302      0       2,400
Citadel Broadcasting Corp       Equity      17285T106           3         15         0        15   0          15      0           0
Citigroup Inc New               Equity      172967424      17,674        690       570       120   0         690      0           0
Citigroup Cap I
  6.10%                         Preferred
                                Stock       173064205      17,288        800       800         0   0         800      0           0
Clarent Corp                    Equity      180461105           0        100       100         0   0         100      0           0
Coca Cola Co                    Equity      191216100   2,671,525     39,543    30,493     9,050   0      38,343      0       1,200
Colgate Palmolive Co            Equity      194162103     461,313      5,202     2,402     2,800   0       5,202      0           0
Comcast Corp New Cl A           Equity      20030N101      17,782        850       850         0   0         850      0           0
Community Bank System Inc       Equity      203607106  29,542,176  1,301,991    46,084 1,255,907   0   1,278,383      0      23,608
ConAgra Foods Inc               Equity      205887102       2,422        100         0       100   0         100      0           0
ConocoPhillips Co               Equity      20825C104   1,135,961     17,940    13,990     3,950   0      17,840      0         100
Consolidated Edison Inc         Equity      209115104     231,444      4,059     4,059         0   0       4,059      0           0
Corning Inc                     Equity      219350105      19,776      1,600       600     1,000   0       1,600      0           0
Corning Natural Gas Corp        Equity      219381100       5,475        300         0       300   0           0      0         300
Cubist Pharmaceuticals Inc      Equity      229678107       7,064        200         0       200   0         200      0           0
DWS Intermediate Tax Free Cl S  Equity      23337X509      34,091      2,921     2,921         0   0       2,921      0           0
Darden Restaurants Inc          Equity      237194105      21,375        500         0       500   0         500      0           0
Delhi Bank Corp                 Equity      246694103     106,640      4,300     4,300         0   0       4,300      0           0
Dell Inc                        Equity      24702R101      21,210      1,500     1,400       100   0       1,500      0           0
Deutsche Telekom ADR            Equity      251566105       8,294        700         0       700   0         700      0           0
Devon Energy Corp New           Equity      25179M103     266,112      4,800     3,300     1,500   0       4,800      0           0
Dime Bancorp Inc New            Equity      25429Q102           1          3         3         0   0           3      0           0
Discovery Laboratories Inc New  Equity      254668403          39         20        20         0   0          20      0           0
Disney (Walt) Co                Equity      254687106     196,040      6,500     6,100       400   0       6,400      0         100
Dominion Resources New          Equity      25746U109   2,447,114     48,200    34,000    14,200   0      47,000      0       1,200
Dow Chemical Co                 Equity      260543103     448,639     19,975    17,700     2,275   0      19,975      0           0
Du Pont de Nemours EI Co        Equity      263534109      11,991        300       300         0   0         300      0           0
Duke Realty Corp                Equity      264411505      10,500      1,000       500       500   0       1,000      0           0
Duke Energy Corp New            Equity      26441C105      52,474      2,625     2,200       425   0       2,625      0           0
Dune Energy Inc                 Equity      265338509          20        200       200         0   0         200      0           0
EMC Corp                        Equity      268648102       5,248        250       250         0   0         250      0           0
EOG Resources Inc               Equity      26875P101     188,177      2,650     2,400       250   0       2,650      0           0
Earth Sciences Inc              Equity      270312200           2      4,000     4,000         0   0       4,000      0           0
Eaton Corp                      Equity      278058102      42,600      1,200     1,200         0   0       1,200      0           0
Emerson Elec Co                 Equity      291011104     238,896      5,783     4,533     1,250   0       5,783      0           0
Encana Corp                     Equity      292505104       2,459        128       128         0   0         128      0           0
Entergy Corp                    Equity      29364G103       1,790         27        27         0   0          27      0           0
Enterprise Prods Partners       Equity      293792107      50,107      1,248     1,048       200   0       1,248      0           0
Equity Residential              Equity      29476L107      31,122        600       600         0   0         600      0           0
Exelon Corp                     Equity      30161N101   1,144,803     26,867    20,792     6,075   0      25,667      0       1,200
Exxon Mobil Corp                Equity      30231G102   4,821,615     66,386    52,526    13,860   0      64,786      0       1,600
Fastenal Co                     Equity      311900104     312,832      9,400     6,400     3,000   0       9,400      0           0
Federated US Govt Sec Fd 1-3    Equity      31428M100     369,476     33,773    29,653     4,120   0      32,273      0       1,500
Federated US Govt Sec Fd 2-5    Equity      31428P103     306,841     25,401    14,008    11,392   0      23,745      0       1,656
Fidelity Natl Title Group Inc
  Cl A                          Equity      31620R105       3,491        230       230         0   0         230      0           0
Fiserv Inc                      Equity      337738108      30,462        600       600         0   0         500      0         100
FL Brd of Ed FSA Insd
  4.000% 06/01/17                           341426FS8      51,531     50,000    50,000         0   0      50,000      0           0
Ford Motor Co                   Equity      345370860       6,769        700       700         0   0         700      0           0
Fortune Brands Inc              Equity      349631101     713,856     13,200    11,800     1,400   0      13,200      0           0
FDRY Networks Inc               Equity      35063R100       3,300        200       200         0   0         200      0           0
France Telecom ADR              Equity      35177Q105      16,370      1,000         0     1,000   0       1,000      0           0
Franklin Income A               Equity      353496300      21,448     10,832    10,832         0   0      10,832      0           0
Franklin NY Tax Free Inc Fd     Equity      354130106     858,843     72,907    46,666    26,241   0      64,399      0       8,508
Frontier Communications         Equity      35906A108       1,026        168        48       120   0         168      0           0
General Dynamics Corp           Equity      369550108      68,268      1,200     1,200         0   0       1,200      0           0
General Electric Co             Equity      369604103   2,081,320    136,749    98,239    38,510   0     134,599      0       2,150
GE Capital Corp Pfd
  6.625% 06/28/32               Preferred
                                Stock       369622527     259,900     10,000     7,600     2,400   0      10,000      0           0
General Mills Inc               Equity      370334104   1,275,097     33,128    23,628     9,500   0      33,128      0           0
General Motors Co               Equity      37045V100       3,209        159         0       159   0         159      0           0
General Motors Co Wts Exp
  07/10/16                      Equity      37045V118       1,676        144         0       144   0         144      0           0
General Motors Co Warrants Exp
  07/10/19                      Equity      37045V126       1,142        144         0       144   0         144      0           0
Genuine Parts Co                Equity      372460105       1,473         29        29         0   0          29      0           0
Glaxo SmithKline PLC ADR        Equity      37733W105      28,903        700       700         0   0         700      0           0
Global High Income Dollar Fund  Equity      37933G108       5,890        500       500         0   0         500      0           0
Sahara Expl Corp
  (Restricted Shares)           Equity      37944P972           0         90        90         0   0          90      0           0
Biosphere Develop Corp
  (Restricted Shares)           Equity      37944P998           0         90        90         0   0          90      0           0
Great Panther Silver Ltd        Equity      39115V101       3,780      1,500         0     1,500   0       1,500      0           0
Halliburton Co                  Equity      406216101      30,520      1,000     1,000         0   0       1,000      0           0
Hanger Orthopedic Group Inc     Equity      41043F208       3,778        200       200         0   0         200      0           0
Harley Davidson Inc             Equity      412822108      41,196      1,200       200     1,000   0       1,200      0           0
Health Care REIT Pfd F          Preferred
                                Stock       42217K403       7,670        300         0       300   0         300      0           0
Heinz H J Co                    Equity      423074103      15,144        300       300         0   0         300      0           0
The Hershey Co                  Equity      427866108     148,100      2,500     1,500     1,000   0       2,500      0           0
Hewlett Packard Co              Equity      428236103     153,176      6,823     3,223     3,600   0       6,623      0         200
Home Depot Inc                  Equity      437076102      10,190        310       310         0   0         310      0           0
Honeywell Int'l Inc             Equity      438516106      21,955        500       500         0   0         500      0           0
Huntington Ingalls Inc          Equity      446413106       3,236        133       133         0   0         133      0           0
NY Huntington Pub Impt
  4.000% 10/15/17                           446457MF7     145,637    135,000   100,000    35,000   0     110,000      0      25,000
ICAD Inc                        Equity      44934S107       4,700     10,000    10,000         0   0      10,000      0           0
Illinois Tool Works Inc         Equity      452308109     664,560     15,975    12,100     3,875   0      15,400      0         575
ING Groep NV
  7.375%                        Preferred
                                Stock       456837707      19,120      1,000         0     1,000   0       1,000      0           0
Integrated Device Tech Inc Com  Equity      458118106       1,030        200         0       200   0         200      0           0
Intel Corp                      Equity      458140100   1,205,961     56,525    45,150    11,375   0      53,875      0       2,650
Intl Business Machines Corp     Equity      459200101  20,722,095    118,500    25,341    93,159   0     117,650      0         850
Intl Flavors & Fragrances Inc   Equity      459506101     286,722      5,100     5,100         0   0       5,100      0           0
iShares MSCI Canada             Equity      464286509      12,745        500       300       200   0         500      0           0
iShares MSCI S Africa           Equity      464286780      11,308        200       200         0   0         200      0           0
iShares TR MSCI Emerging
  Markets                       Equity      464287234       3,510        100       100         0   0         100      0           0
iShares Barclays 1-3 Yr ETF     Equity      464287457      25,371        300       300         0   0         300      0           0
iShares TR MSCI EAFE Index Fund Equity      464287465       4,778        100       100         0   0         100      0           0
iShare Russell MidCap Value Fd  Equity      464287473      65,552      1,700     1,550       150   0       1,700      0           0
iShares TR Cohen & Steers
  Realty                        Equity      464287564       6,750        110       110         0   0         110      0           0
iShares Russell 2000 Index Fund Equity      464287655       6,430        100       100         0   0         100      0           0
iShares Barclays 1-3 Yr
  ETF Bond Fd                   Equity      464288646      12,270        118       118         0   0         118      0           0
iShares Silver Trust            Equity      46428Q109      83,030      2,872     1,000     1,872   0       2,872      0           0
JP Morgan Chase & Co            Equity      46625H100   1,394,646     46,303    41,500     4,803   0      44,703      0       1,600
JP Morgan Chase Cap Tr XI       Preferred
                                Stock       46626V207      24,890      1,000     1,000         0   0       1,000      0           0
Jeffersonville Bancorp          Equity      47559A103      63,704      6,215     6,215         0   0       6,215      0           0
Johnson & Johnson               Equity      478160104   3,573,136     56,102    42,662    13,440   0      56,002      0         100
Johnson Controls Inc            Equity      478366107     308,529     11,700     7,400     4,300   0      10,700      0       1,000
JP Morgan NY Tax Free Bond Cl A Equity      4812A0755      64,892      8,781     8,781         0   0       8,781      0           0
Keycorp                         Equity      493267108      51,591      8,700     3,700     5,000   0       8,700      0           0
Kimberly Clark Corp             Equity      494368103   1,432,627     20,175    14,575     5,600   0      20,075      0         100
Kinder Morgan Energy Partners   Equity      494550106      13,676        200       200         0   0         200      0           0
Kraft Foods Inc                 Equity      50075N104       7,992        238       138       100   0         238      0           0
Legg Mason Inc                  Equity      524901105      79,701      3,100     3,000       100   0       3,100      0           0
Lilly Eli & Co                  Equity      532457108     602,611     16,300    14,000     2,300   0      16,200      0         100
Lorillard Inc                   Equity      544147101      11,070        100       100         0   0         100      0           0
M & T Bank Corp                 Equity      55261F104     752,543     10,766       766    10,000   0      10,766      0           0
Mack Cali Realty Corp           Equity      554489104      13,375        500       500         0   0         500      0           0
Magellan Energy Ltd New         Equity      559071204           0          1         1         0   0           1      0           0
NY Mamaroneck UFSD
  4.000% 10/01/16                           561467NM9     351,142    340,000   290,000    50,000   0     340,000      0           0
Marathon Oil Corp               Equity      565849106      10,790        500       500         0   0         500      0           0
Marathon Pete Corp              Equity      56585A102       6,765        250       250         0   0         250      0           0
MFC Market Vectors Agri
  Business                      Equity      57060U605       4,323        100       100         0   0         100      0           0
MA St Health & Ed (Williams)
  5.000% 07/01/22                           57585KV70     422,492    400,000   300,000   100,000   0     375,000      0      25,000
McDonalds Corp                  Equity      580135101     535,351      6,096     1,596     4,500   0       5,096      0       1,000
McGraw Hill Inc                 Equity      580645109       8,200        200         0       200   0         200      0           0
McKesson Corp                   Equity      58155q103     258,085      3,550     1,250     2,300   0       3,550      0           0
Medco Health Solutions Inc      Equity      58405U102       9,378        200       200         0   0         200      0           0
Medical Properties Trust Inc    Equity      58463J304       8,055        900         0       900   0         900      0           0
Medtronic Inc                   Equity      585055106      94,734      2,850     2,550       300   0       2,850      0           0
Merchants Bancshares Inc        Equity      588448100     207,545      7,750     4,750     3,000   0       7,750      0           0
Merck & Co Inc New              Equity      58933Y105     632,255     19,335    13,856     5,479   0      18,135      0       1,200
Merrill Lynch Pfd Cap Tr III    Preferred
                                Stock       59021F206       7,860        400       400         0   0         400      0           0
MetLife Inc                     Equity      59156R108      41,903      1,496       596       900   0         696      0         800
Microsoft Corp                  Equity      594918104     793,045     31,862    24,187     7,675   0      30,862      0       1,000
Microbyx                        Equity      594992107       2,625        875         0       875   0         875      0           0
NJ Middlesex Co
  4.125% 01/01/20                           59656NGY2      27,095     25,000    25,000         0   0      25,000      0           0
NJ Middlesex Co
 4.125% 01/01/21                            59656NGZ9      27,042     25,000    25,000         0   0      25,000      0           0
Minefinders Corp Ltd            Equity      602900102       4,176        300         0       300   0         300      0           0
Mirant Corp Escrow Shares                   604675991           0        180       180         0   0         180      0           0
Monsanto Co                     Equity      61166W101     390,380      6,502     5,600       902   0       6,502      0           0
Morgan Stanley                  Equity      617446448      10,511        778       778         0   0         778      0           0
The Mosaic Company              Equity      61945C103       1,126         23        23         0   0          23      0           0
Motorola Solutions Inc          Equity      620076307       3,603         86        86         0   0          86      0           0
NBT Bancorp Inc                 Equity      628778102     339,089     18,211     5,305    12,906   0       8,211      0      10,000
Namic Insurance Co Inc B        Equity      62989*105       5,475         30        30         0   0          30      0           0
National Fuel Gas Co            Equity      636180101      48,680      1,000         0     1,000   0       1,000      0           0
National Grid Transco PLC
  Sponsored ADR                 Equity      636274300       6,002        121       121         0   0         121      0           0
Natural Resources Partners LP   Equity      63900P103      10,144        400         0       400   0         400      0           0
Nestle                          Equity      641069406      11,032        200         0       200   0         200      0           0
Nevada Gold & Casinos Inc       Equity      64126Q206       1,750      1,000         0     1,000   0       1,000      0           0
NY New Castle Tn
  3.750% 12/01/12                           643408PU5     103,914    100,000         0   100,000   0     100,000      0           0
New Gold Inc                    Equity      644535106       4,631        450         0       450   0         450      0           0
New York Community Bancorp      Equity      649445103       1,190        100       100         0   0         100      0           0
NYSDA Lutheran Medical Ctr
  4.000% 02/01/15                           649901T88     714,287    700,000   390,000   310,000   0     700,000      0           0
Newell Rubbermaid Inc           Equity      651229106      80,716      6,800     5,600     1,200   0       6,700      0         100
Nextera Energy Inc              Equity      65339F101     792,744     14,675    12,575     2,100   0      14,575      0         100
Nicor Inc                       Equity      654086107      16,503        300       300         0   0         300      0           0
Nike Inc Class B                Equity      654106103     239,428      2,800     2,200       600   0       2,800      0           0
Nokia Corporation ADR           Equity      654902204       5,660      1,000     1,000         0   0       1,000      0           0
Norfolk Southern Corp           Equity      655844108      30,510        500       500         0   0         500      0           0
Nortel Networks Corp New        Equity      656568508           1         20        20         0   0          20      0           0
North European Oil Royalty
  Trust                         Equity      659310106       6,266        200       200         0   0         200      0           0
NY East Northport UFSD
  4.000% 08/01/17                           666641FS9     298,980    275,000   150,000   125,000   0     275,000      0           0
Northrop Grumman Corp           Equity      666807102      41,736        800       800         0   0         800      0           0
Novartis Ag ADR                 Equity      66987V109   1,779,676     31,911    25,811     6,100   0      31,911      0           0
Nstar Com                       Equity      67019E107      18,820        420       420         0   0         420      0           0
Nucor Corp                      Equity      670346105     734,839     23,225    18,125     5,100   0      23,125      0         100
Nuveen NY Municipal Value Fd    Equity      67062M105      60,475      6,386     5,886       500   0       6,386      0           0
Nuveen NY Invt Quality Muni Fd  Equity      67062X101      33,770      2,350     2,350         0   0       2,350      0           0
OGE Energy Corp                 Equity      670837103     248,508      5,200     3,200     2,000   0       5,200      0           0
Occidental Petroleum Corp       Equity      674599105      50,050        700       700         0   0         700      0           0
Olin Corp                       Equity      680665205       9,005        500       500         0   0         500      0           0
Oneok Partners LP               Equity      68268N103      18,648        400       400         0   0         400      0           0
Oracle Corp                     Equity      68389X105     200,605      6,980     5,980     1,000   0       6,980      0           0
Paincare Holdings Inc           Equity      69562E104           1        640       640         0   0         640      0           0
Pan American Silver Corp        Equity      697900108       4,016        150         0       150   0         150      0           0
Parker Hannifin Corp            Equity      701094104      25,252        400       250       150   0         400      0           0
Peabody Energy Corp             Equity      704549104      10,164        300       300         0   0         300      0           0
Pengrowth Energy Corp           Equity      70706P104      21,576      2,400     1,200     1,200   0       2,400      0           0
PEPCO Holdings Inc              Equity      713291102       3,784        200         0       200   0         200      0           0
PepsiCo Inc                     Equity      713448108   2,443,874     39,481    30,181     9,300   0      39,281      0         200
Permian Basin Royalty Tr        Equity      714236106       4,092        200       200         0   0         200      0           0
Pfizer Inc                      Equity      717081103   1,311,502     74,180    66,080     8,100   0      73,380      0         800
Philip Morris International Inc Equity      718172109      12,476        200       200         0   0         200      0           0
Pitney Bowes Inc                Equity      724479100      90,240      4,800     4,600       200   0       4,800      0           0
Plains All American Pipeline,
  LLP                           Equity      726503105      17,676        300         0       300   0         300      0           0
Plug Power Inc New              Equity      72919P202           5          3         3         0   0           3      0           0
Potash Corp Sask Inc            Equity      73755L107     227,986      5,275     4,075     1,200   0       4,875      0         400
PowerShares Exchange            Equity      73935A104       6,561        125       125         0   0         125      0           0
Powershares Dynamic             Equity      73935X104      36,850      1,000     1,000         0   0       1,000      0           0
Powershares Financial Preferred Equity      73935X229      11,628        720       720         0   0         720      0           0
Powershares Value Line          Equity      73935X682      25,140      2,000     2,000         0   0       2,000      0           0
Principal Financial Group Inc   Equity      74251V102      10,088        445       445         0   0         445      0           0
Procter & Gamble Co             Equity      742718109   3,645,991     57,708    45,158    12,550   0      55,508      0       2,200
Progress Energy Inc             Equity      743263105      60,564      1,171     1,171         0   0       1,171      0           0
Prudential Financial Inc        Equity      744320102       8,763        187       187         0   0         187      0           0
Public Service Enterprise       Equity      744573106   1,226,348     36,750    27,250     9,500   0      35,450      0       1,300
Qualcomm Inc                    Equity      747525103      92,397      1,900     1,700       200   0       1,900      0           0
Reynolds American Inc           Equity      761713106       9,370        250         0       250   0         250      0           0
Rockwell Automat Inc            Equity      773903109      28,000        500       500         0   0         500      0           0
T Rowe Price Summit Municipal
  Intermediate Fd               Equity      77957N209      68,202      5,910     5,910         0   0       5,910      0           0
Royal Bank of Canada            Equity      780087102      45,720      1,000         0     1,000   0       1,000      0           0
Royal Dutch Shell PLC A ADR     Equity      780259206     159,952      2,600     2,200       400   0       2,600      0           0
SE Financial Corp               Equity      78412R108      20,400      4,800         0     4,800   0       4,800      0           0
SPDR S&P 500 ETF Trust          Equity      78462F103      48,089        425       425         0   0         425      0           0
SPDR Gold Trust                 Equity      78463V107      47,892        303       303         0   0         303      0           0
SPDR S&P 400 Midcap ETF Tr      Equity      78467Y107      14,213        100       100         0   0         100      0           0
Sabine Royalty Trust            Equity      785688102      12,608        200       200         0   0         200      0           0
Sara Lee Corp                   Equity      803111103      15,614        955       955         0   0         955      0           0
Scana Corp New                  Equity      80589M102      16,180        400       400         0   0         200      0         200
Schlumberger Ltd                Equity      806857108      41,811        700       700         0   0         700      0           0
MFC Select Sector               Equity      81369Y100       2,936        100       100         0   0         100      0           0
Sempra Energy Inc               Equity      816851109   1,426,035     27,690    23,415     4,275   0      27,590      0         100
Silver Wheaton Corp             Equity      828336107      15,903        540         0       540   0         540      0           0
Silvercorp Metals Inc           Equity      82835P103       3,164        400         0       400   0         400      0           0
Sonoco Products Co              Equity      835495102      50,814      1,800     1,800         0   0       1,800      0           0
NY Southampton
  4.500% 10/01/21                           841205VF1     180,327    175,000   175,000         0   0     175,000      0           0
NY Southampton Tn
  4.000% 11/01/19                           841205WR4     186,968    175,000   175,000         0   0     175,000      0           0
Southern Co                     Equity      842587107      46,607      1,100       900       200   0       1,100      0           0
Spectra Energy Corp             Equity      847560109       3,680        150        50       100   0         150      0           0
Sprint Nextel Corp              Equity      852061100         304        100       100         0   0         100      0           0
Stanley Black & Decker Inc      Equity      854502101     628,480     12,800    10,200     2,600   0      12,800      0           0
Suncor Energy Inc New           Equity      867224107      25,440      1,000     1,000         0   0       1,000      0           0
NY Syosset CSD
  4.000% 07/15/17                           871633FQ1      53,585     50,000    50,000         0   0      50,000      0           0
Sysco Corp                      Equity      871829107     954,415     36,850    26,250    10,600   0      36,650      0         200
Taylor Capital Group Inc
  9.75%                         Preferred
                                Stock       87216N205       6,913        350         0       350   0         350      0           0
Target Corp                     Equity      87612E106     308,952      6,300     5,700       600   0       6,200      0         100
Telefonica SA ADR               Equity      879382208       3,824        200         0       200   0         200      0           0
Teva Pharmaceutical Industries  Equity      881624209       3,722        100         0       100   0         100      0           0
Texas Instruments Inc           Equity      882508104     351,780     13,200    12,000     1,200   0      13,100      0         100
Thermo Fisher Corp              Equity      883556102      15,192        300       300         0   0         300      0           0
3M Company                      Equity      88579Y101   2,987,541     41,615    35,215     6,400   0      40,715      0         900
Thunder Mountain Gold           Equity      886043108         600      5,000     5,000         0   0       5,000      0           0
Time Warner Cable Inc           Equity      88732J207         501          8         8         0   0           8      0           0
Toronto Dominion Bank           Equity      891160509      13,481        190       190         0   0         190      0           0
Torvec Inc                      Equity      891479107       2,600      2,000     2,000         0   0       2,000      0           0
Total SA                        Equity      89151E109      74,579      1,700         0     1,700   0       1,700      0           0
Toyota Motors ADR               Equity      892331307      13,652        200         0       200   0         200      0           0
Tronox Inc Warrants B           Equity      897051124          26          1         1         0   0           1      0           0
US Bancorp Del                  Equity      902973304     112,992      4,800     2,600     2,200   0       4,800      0           0
Ultra Petroleum Corp            Equity      903914109         915         33        33         0   0          33      0           0
Unilever ADR                    Equity      904767704       3,119        100         0       100   0           0      0         100
Unilever NV NY New              Equity      904784709      15,745        500       500         0   0         500      0           0
United Parcel Svc Inc Cl B      Equity      911312106   1,139,858     18,050    13,525     4,525   0      18,050      0           0
US Tsy
  4.375% 08/15/12                           912828AJ9     922,367    890,000   595,000   295,000   0     890,000      0           0
US Tsy
  4.000% 11/15/12                           912828AP5   2,209,769  2,120,000 1,420,000   700,000   0   2,120,000      0           0
US Tsy
  4.250% 08/15/13                           912828BH2   2,346,144  2,185,000 1,510,000   675,000   0   2,185,000      0           0
United Technologies Corp        Equity      913017109   1,414,236     20,100    16,100     4,000   0      20,100      0           0
United Health Group Inc         Equity      91324P102     599,560     13,000    11,800     1,200   0      13,000      0           0
Valeant Pharmaceuticals
  International Inc             Equity      91911K102       5,123        138       138         0   0         138      0           0
Valero Energy Corp              Equity      91913Y100      10,668        600       600         0   0         600      0           0
Vanguard Short-Term Bond ETF    Equity      921937827     846,768     10,400     8,400     2,000   0       9,900      0         500
Vanguard GNMA Fd Admiral Shs    Equity      922031794   7,291,692    653,377   559,274    94,104   0     643,371      0      10,006
Vanguard International Equity
  Index Fd                      Equity      922042775       7,744        200       200         0   0         200      0           0
Vanguard Emerging Markets ETF   Equity      922042858      23,290        650       650         0   0         650      0           0
Vanguard Consumer Staples ETF   Equity      92204A207      38,115        500       500         0   0         500      0           0
Vanguard Financials ETF         Equity      92204A405     536,961     21,550    16,800     4,750   0      20,950      0         600
Vanguard Health Care ETF        Equity      92204A504      28,345        500       500         0   0         500      0           0
Vanguard Utilities ETF          Equity      92204A876     344,795      4,825     4,225       600   0       4,825      0           0
Vanguard Short-Term Corp Bond
  ETF                           Equity      92206C409   1,983,191     25,550    21,725     3,825   0      24,700      0         850
Vanguard REIT                   Equity      922908553       5,087        100       100         0   0         100      0           0
Vanguard Small Cap Value ETF    Equity      922908611      11,116        200       200         0   0         200      0           0
Vanguard Mid-Cap                Equity      922908629      19,530        300       300         0   0         300      0           0
Verizon Communications Co       Equity      92343V104   2,409,848     65,485    50,050    15,435   0      64,935      0         550
Viacom Inc New Cl B             Equity      92553P201       9,685        250       250         0   0         250      0           0
Vodafone Group PLC New ADR      Equity      92857W209       7,621        297         0       297   0         297      0           0
WGL Holdings Inc                Equity      92924F106      15,628        400       400         0   0         400      0           0
Wal-Mart Stores Inc             Equity      931142103   1,445,415     27,850    21,250     6,600   0      27,850      0           0
Walgreen Co                     Equity      931422109     240,097      7,300     6,900       400   0       7,300      0           0
Washington Real Est Inv Tr      Equity      939653101      11,272        400       400         0   0         400      0           0
Waste Mgmt Inc                  Equity      94106L109       3,256        100       100         0   0         100      0           0
Wellpoint Inc                   Equity      94973V107     373,402      5,720     5,220       500   0       5,620      0         100
Wells Fargo & Co                Equity      949746101     521,402     21,617    18,777     2,840   0      21,617      0           0
Weyerhaeuser Co                 Equity      962166104      20,884      1,343     1,343         0   0       1,343      0           0
Whole Foods Mkt Inc             Equity      966837106       2,612         40        40         0   0          40      0           0
Williams Cos                    Equity      969457100       4,868        200       200         0   0         200      0           0
Windstream Corp                 Equity      97381W104      29,125      2,500     1,300     1,200   0       2,500      0           0
Wisconsin Energy Corp           Equity      976657106     109,515      3,500     2,000     1,500   0       3,500      0           0
Yamana Gold Inc                 Equity      98462Y100       5,464        400         0       400   0         400      0           0
Yum Brands Inc                  Equity      988498101       4,939        100         0       100   0         100      0           0
Zimmer Holdings Inc             Equity      98956P102      26,740        500       500         0   0         500      0           0
Fractionals American
  International Group           Equity      ACG874152           0     41,619    10,790    30,829   0      41,619      0           0
American Foundation For The
  Blind, Inc                    Equity      AMERICANF       5,000          1         1         0   0           1      0           0
American Printing House For
  The Blind                     Equity      AMPRIN          7,500          2         2         0   0           2      0           0
National Federation Of
  The Blind                     Equity      BLIND           5,000          1         1         0   0           1      0           0
Christian Appalachian Project   Equity      CAP             4,000          2         2         0   0           2      0           0
Capuchin Franciscans of the
  Prov of St Mary               Equity      CAPUCHIN        5,000          1         1         0   0           1      0           0
Cardinal Glennon Children's
  Hospital                      Equity      CARD           20,000          4         4         0   0           4      0           0
Catholic Relief Svcs USCC       Equity      CATREL         20,000          4         4         0   0           4      0           0
The Catholic Church Extension
  Society                       Equity      CCES            5,000          4         4         0   0           4      0           0
Claretian Fathers               Equity      CLAR            2,000          1         1         0   0           1      0           0
Columban Fathers                Equity      COLUM           2,000          2         2         0   0           2      0           0
Columban Fathers #2             Equity      COLUM2          1,000          1         1         0   0           1      0           0
Crosier Community               Equity      CROS            6,000          3         3         0   0           3      0           0
Deafness Research Foundation    Equity      DEAF            5,000          1         1         0   0           1      0           0
Deborah Hospital Foundation     Equity      DEBORAH        10,000          2         2         0   0           2      0           0
Divine Word Missionary #2       Equity      DWM2            5,000          5         5         0   0           5      0           0
Divine Word Missionary #3       Equity      DWM3            8,000          8         8         0   0           8      0           0
Divine Word Missionary #4       Equity      DWM4            9,000          7         7         0   0           7      0           0
Divine Word Missionary #5       Equity      DWM5            6,000          6         6         0   0           6      0           0
Divine Word Missionary #6       Equity      DWM6            8,000          8         8         0   0           8      0           0
Divine Word Missionary #7       Equity      DWM7            7,000          7         7         0   0           7      0           0
Divine Word Missionaries        Equity      DWMISS          2,000          1         1         0   0           1      0           0
US Series EE 05/84
  05/01/14                                  EE0584            410        200       200         0   0         200      0           0
US Series EE 06/89
  06/01/19                                  EE0689          1,510      1,000     1,000         0   0       1,000      0           0
The Seeing Eye, Inc             Equity      EYE            15,000          4         4         0   0           4      0           0
The Seeing Eye #2               Equity      EYE2            5,000          1         1         0   0           1      0           0
The Seeing Eye #3               Equity      EYE3            5,000          1         1         0   0           1      0           0
Fractional Marriott
  International                 Equity      FHB903208           0     68,200    68,200         0   0      68,200      0           0
Friars Of The Atonement         Equity      FRIAR           2,000          2         2         0   0           2      0           0
The Franciscans St Anthonys Gld Equity      FSAG           10,000          2         2         0   0           2      0           0
Ingersoll-Rand PLC              Equity      G47791101      13,764        490       490         0   0         490      0           0
Willis Group Holdings PLC       Equity      G96666105       3,437        100       100         0   0         100      0           0
Glenmary Home Missioners        Equity      GLEN            5,000          2         2         0   0           2      0           0
The Gospel Assoc - Blind        Equity      GOSPEL          4,000          3         3         0   0           3      0           0
Guiding Eyes For The Blind      Equity      GUID            5,000          1         1         0   0           1      0           0
Ace Ltd                         Equity      H0023R105      12,120        200       200         0   0         200      0           0
Noble Corp                      Equity      H5833N103     688,258     23,450    18,900     4,550   0      22,250      0       1,200
Transocean Switz Inc            Equity      H8817H100       3,294         69        69         0   0          69      0           0
US Series HH 01/03
  1.500% 01/01/23                           HH0103          2,500      2,500     2,500         0   0       2,500      0           0
US Series HH 05/99
  1.500% 05/01/19                           HH0519         65,000     65,000    65,000         0   0      65,000      0           0
The Humane Society of The
  United States                 Equity      HSUS            5,000          1         1         0   0           1      0           0
Legionaries Of Christ           Equity      LEGION         10,000          2         2         0   0           2      0           0
Lighthouse International        Equity      LIGHT           5,000          1         1         0   0           1      0           0
Maryknoll Annuity Contract      Equity      MAC             3,000          3         3         0   0           3      0           0
Missionary Assoc Of Mary
  Immaculate                    Equity      MISS            5,000          1         1         0   0           1      0           0
Marianist Mission               Equity      MMAC            4,000          4         4         0   0           4      0           0
Missionary Oblates Of Mary
  Immaculate                    Equity      MOMI            1,500          1         1         0   0           1      0           0
Norbertine Fathers              Equity      NORB            5,000          1         1         0   0           1      0           0
National Wildlife Federation    Equity      NWF             5,000          1         1         0   0           1      0           0
Global Environmental Energy
  Corp                          Equity      P47725109           2        150       150         0   0         150      0           0
Prevent Blindness America       Equity      PBAM           10,000          2         2         0   0           2      0           0
Palm Beach Tan Inc                          PBTI                0      5,000     5,000         0   0       5,000      0           0
The Roman Catholic Diocese of
  Syracuse                      Equity      RCD             2,500          1         1         0   0           1      0           0
Sacred Heart Program            Equity      SACRED          4,000          4         4         0   0           4      0           0
Salesian Missionaries           Equity      SALE            2,000          2         2         0   0           2      0           0
Sacred Heart League             Equity      SHL             4,000          3         3         0   0           3      0           0
Sacred Heart Monastery          Equity      SHM             3,000          3         3         0   0           3      0           0
St Lawrence Seminary            Equity      SLSAC           2,000          2         2         0   0           2      0           0
Society For The Propagation
  Of The Faith                  Equity      SPFAA           4,000          3         3         0   0           3      0           0
St Joseph's Indian School       Equity      STJO            4,000          3         3         0   0           3      0           0
St Judes Children's Research
  Hospital                      Equity      STJUDE         15,000          3         3         0   0           3      0           0
St Labre Indian School          Equity      STLABRE         8,500          3         3         0   0           3      0           0
University of St Thomas         Equity      USTHOMAS       20,000          4         4         0   0           4      0           0
World Wildlife Fund             Equity      WORLD           5,000          1         1         0   0           1      0           0
Philex Mining Corporation       Equity      Y68991135         736      1,502         0     1,502   0       1,502      0           0
                                                     152,045,556  * * * End Of Assets 395 Assets Reported Of 9,627 Assets On File

Wilber - Wilber National Bank                                    Page -1 of 1