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

                                    FORM 13F

                               FORM 13F COVER PAGE

Report for the Calendar Year or Quarter Ended:  03/31/2013
                                                ------------------

Check here if Amendment [ X ]; Amendment Number:    1
                                                  -------

   This Amendment (Check only one.):  [ X ] is a restatement.
                                      [   ] adds new holdings entries.

Institutional Investment Manager Filing this Report:

Name:        Tompkins Financial Corporation
           --------------------------------------------------
Address:     The Commons
           --------------------------------------------------
             P.O. Box 460
           --------------------------------------------------
             Ithaca, NY 14851
           --------------------------------------------------

Form 13F File Number:   1-12709
                       -----------

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:       Lisa A. Leonardo
           -------------------------------------------------------
Title:      AVP & TFA Operations Manager
           -------------------------------------------------------
Phone:      607-273-0037
           -------------------------------------------------------

Signature, Place, and Date of Signing:

 /s/ Lisa Leonardo  121 E. Seneca Street, Ithaca, NY  14851        04/18/2013
 -----------------  ---------------------------------------------- ----------



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).)



                             FORM 13F SUMMARY PAGE

Report Summary:

Number of Other Included Managers:              2
                                               -------------
Form 13F Information Table Entry Total:         598
                                               -------------
Form 13F Information Table Value Total:         322,574
                                               -------------
                                               (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.

     No.           Form 13F File Number        Name

     1             028-                        Tompkins Trust Company
-----------        --------------------        ----------------------------

     2             028-                        TFA Management, Inc.
-----------        --------------------        ----------------------------



                           Form 13F Information Table


                                                                     FORM 13F INFORMATION TABLE
                                                            VALUE    SHARES/  SH/ PUT/ INVSTMT    OTHER        VOTING AUTHORITY
    NAME OF ISSUER             TITLE OF CLASS     CUSIP     X$1000)  PRN AMT  PRN CALL DSCRETN    MANAGERS   SOLE    SHARED   NONE
--------------------------     ----------------   --------- -------- -------- --- ---- ------- ----------- ------- -------- --------
                                                                                           
AXIS CAPITAL HLDGS LTD                          G0692U109       42     1020 SH       DEFINED                  1020        0        0
ACCENTURE PLC                                   G1151C101     1064    14006 SH       SOLE                    13457        0      549
ACCENTURE PLC                                   G1151C101       49      645 SH       DEFINED                   645        0        0
COVIDIEN PLC                                    G2554F113      287     4225 SH       SOLE                     4225        0        0
EATON CORP PLC                                  G29183103       25      400 SH       SOLE                      400        0        0
NABORS INDUSTRIES LTD                           G6359F103        4      230 SH       SOLE                      230        0        0
REGS SEADRILL LIMITED                           G7945E105       60     1600 SH       SOLE                     1600        0        0
GARMIN LTD                                      H2906T109       80     2415 SH       SOLE                     2415        0        0
NOBLE CORPORATION                               H5833N103        6      170 SH       SOLE                      170        0        0
TRANSOCEAN LTD                                  H8817H100       54     1047 SH       SOLE                     1047        0        0
STRATASYS LTD                                   M85548101       30      405 SH       DEFINED                   405        0        0
AFLAC INC                   COM                 001055102      188     3620 SH       SOLE                     2570        0     1050
AT&T INC                    COM                 00206R102     2178    59388 SH       SOLE                    48019        0    11369
AT&T INC                    COM                 00206R102      135     3675 SH       DEFINED                  3675        0        0
ABAXIS INC                                      002567105       30      630 SH       DEFINED                   630        0        0
ABBOTT LABORATORIES         COM                 002824100     1126    31890 SH       SOLE                    30221        0     1669
ABBOTT LABORATORIES         COM                 002824100       16      450 SH       DEFINED                   450        0        0
ABBVIE INC                                      00287Y109     1048    25698 SH       SOLE                    24133        0     1565
ABBVIE INC                                      00287Y109       40      978 SH       DEFINED                   978        0        0
ABERDEEN CHILE FD INC                           00301W105        0       16 SH       SOLE                       16        0        0
ABERDEEN AUSTRAILIA         EQUITY FUND         003011103       34     3000 SH       SOLE                     3000        0        0
ACADIA RLTY TR                                  004239109       26      939 SH       SOLE                        0        0      939
ACTIVISION BLIZZARD INC                         00507V109        1       49 SH       SOLE                        0        0       49
THE ADVISORY BOARD                              00762W107       24      450 SH       DEFINED                   450        0        0
ADVANCED MICRO DEVICES INC  COM                 007903107        3     1000 SH       SOLE                     1000        0        0
AGNICO EAGLE MINES LTD      COM NEW ADR         008474108       21      500 SH       SOLE                      500        0        0
AIR PRODS & CHEMS INC       COM                 009158106       12      135 SH       SOLE                      135        0        0
ALCOA INC                   COM                 013817101       53     6252 SH       SOLE                     6252        0        0
ALCATEL-LUCENT ADR                              013904305        0      125 SH       SOLE                      125        0        0





                                                                     FORM 13F INFORMATION TABLE
                                                            VALUE    SHARES/  SH/ PUT/ INVSTMT    OTHER        VOTING AUTHORITY
    NAME OF ISSUER             TITLE OF CLASS     CUSIP     X$1000)  PRN AMT  PRN CALL DSCRETN    MANAGERS   SOLE    SHARED   NONE
--------------------------     ----------------   --------- -------- -------- --- ---- ------- ----------- ------- -------- --------
                                                                                           
ALLERGAN INC                COM                 018490102       66      590 SH       DEFINED                   590        0        0
ALLIANCE DATA SYSTEMS                           018581108       47      290 SH       DEFINED                   290        0        0
ALLSCRIPTS HEALTHCARE SOLU                      01988P108        7      526 SH       SOLE                      526        0        0
ALLSTATE CORP               COM                 020002101        2       44 SH       SOLE                        0        0       44
ALLSTATE CORP               COM                 020002101       57     1160 SH       DEFINED                  1160        0        0
ALTRIA GROUP INC            COM                 02209S103     1268    36871 SH       SOLE                    36331        0      540
ALTRIA GROUP INC            COM                 02209S103       76     2205 SH       DEFINED                  2205        0        0
AMAZON COM INC              COM                 023135106       20       75 SH       SOLE                       75        0        0
AMAZON COM INC              COM                 023135106       81      303 SH       DEFINED                   303        0        0
AMERICAN CAPITAL AGENCY CORP                    02503X105       48     1480 SH       DEFINED                  1480        0        0
AMERICAN EXPRESS CO         COM                 025816109     1510    22386 SH       SOLE                    20627        0     1759
AMERICAN EXPRESS CO         COM                 025816109        3       45 SH       DEFINED                    45        0        0
AMERISOURCEBERGEN CORP                          03073E105       56     1080 SH       DEFINED                  1080        0        0
AMERIPRISE FINL INC COM                         03076C106      240     3255 SH       SOLE                     3255        0        0
AMGEN INC                   COM                 031162100     1758    17151 SH       SOLE                    15325        0     1826
AMGEN INC                   COM                 031162100       54      530 SH       DEFINED                   530        0        0
ANADARKO PETE CORP          COM                 032511107       94     1080 SH       SOLE                     1080        0        0
ANADARKO PETE CORP          COM                 032511107        6       65 SH       DEFINED                     0        0       65
ANALOG DEVICES INC          COM                 032654105       23      495 SH       SOLE                      495        0        0
ANHEUSER-BUSCH INBEV SA/NV  SPONSORED ADR       03524A108     1235    12402 SH       SOLE                    11331        0     1071
ANHEUSER-BUSCH INBEV SA/NV  SPONSORED ADR       03524A108        7       75 SH       DEFINED                    75        0        0
ANNALY MTG MGMT INC                             035710409       77     4820 SH       SOLE                     4820        0        0
ANSYS INC                                       03662Q105       33      405 SH       DEFINED                   405        0        0
APACHE CORP                                     037411105     1168    15139 SH       SOLE                    13939        0     1200
APACHE CORP                                     037411105        4       55 SH       DEFINED                    55        0        0
APPLE INC COM               COM                 037833100     2708     6119 SH       SOLE                     5808        0      311
APPLE INC COM               COM                 037833100      227      513 SH       DEFINED                   513        0        0
APPLIED MATLS INC           COM                 038222105       20     1500 SH       SOLE                     1500        0        0
ARCHER DANIELS MIDLAND CO   COM                 039483102     1493    44270 SH       SOLE                    42820        0     1450
ARCHER DANIELS MIDLAND CO   COM                 039483102       25      728 SH       DEFINED                   728        0        0
ARGAN INC                                       04010E109        9      600 SH       SOLE                      600        0        0
ASTRAZENECA PLC                                 046353108      572    11441 SH       SOLE                    11321        0      120
ASTRAZENECA PLC                                 046353108       18      361 SH       DEFINED                   361        0        0




                                                                     FORM 13F INFORMATION TABLE
                                                            VALUE    SHARES/  SH/ PUT/ INVSTMT    OTHER        VOTING AUTHORITY
    NAME OF ISSUER             TITLE OF CLASS     CUSIP     X$1000)  PRN AMT  PRN CALL DSCRETN    MANAGERS   SOLE    SHARED   NONE
--------------------------     ----------------   --------- -------- -------- --- ---- ------- ----------- ------- -------- --------
                                                                                           
ATHENAHEALTH INC                                04685W103       35      365 SH       DEFINED                   365        0        0
ATLAS RESOURCE PARTNERS                         04941A101       12      500 SH       SOLE                      500        0        0
AUTOMATIC DATA PROCESSING                       053015103     1678    25807 SH       SOLE                    23927        0     1880
AUTOMATIC DATA PROCESSING                       053015103       87     1335 SH       DEFINED                  1335        0        0
AUTOZONE INC                                    053332102     1134     2859 SH       SOLE                     2597        0      262
AUTOZONE INC                                    053332102        6       15 SH       DEFINED                    15        0        0
BCE INC COM NEW                                 05534B760       70     1500 SH       SOLE                     1500        0        0
BP AMOCO PLC                SPONSORED ADR       055622104       16      377 SH       SOLE                      377        0        0
BAKER HUGHES INC            COM                 057224107        8      164 SH       SOLE                      164        0        0
BALL CORP                   COM                 058498106       45      940 SH       DEFINED                   940        0        0
BANCROFT CONV FD INC        COM                 059695106       26     1500 SH       SOLE                     1500        0        0
BANK OF AMERICA CORPORATION COM                 060505104       20     1656 SH       SOLE                     1656        0        0
BARRICK GOLD CORP           COM ADR             067901108       12      400 SH       SOLE                      400        0        0
BAXTER INTL INC             COM                 071813109     1456    20054 SH       SOLE                    18239        0     1815
BAXTER INTL INC             COM                 071813109        4       50 SH       DEFINED                    50        0        0
BED BATH & BEYOND INC       COM                 075896100       87     1350 SH       SOLE                     1350        0        0
BEMIS INC                   COM                 081437105       45     1120 SH       DEFINED                  1120        0        0
BERKSHIRE HATHAWAY INC DEL  CL A                084670108      156        1 SH       SOLE                        0        0        1
BERKSHIRE HATHAWAY INC DEL  CL B NEW            084670702     1391    13352 SH       SOLE                    11977        0     1375
BERKSHIRE HATHAWAY INC DEL  CL B NEW            084670702        5       50 SH       DEFINED                    50        0        0
BEST BUY INC                COM                 086516101       10      450 SH       SOLE                      450        0        0
BHP BILLITON LIMITED                            088606108      263     3840 SH       SOLE                     3840        0        0
BHP BILLITON LIMITED                            088606108       59      864 SH       DEFINED                   864        0        0
BIOREFERENCE LABS INC                           09057G602       25      967 SH       DEFINED                   967        0        0
BIOGEN IDEC INC                                 09062X103       18       95 SH       SOLE                       95        0        0
BLACKROCK, INC                                  09247X101      503     1960 SH       SOLE                     1960        0        0
BLACKROCK MUNIVEST FD INC                       09253R105       11     1000 SH       SOLE                     1000        0        0
BLACKROCK MUN TARGET TERM                       09257P105       23     1000 SH       SOLE                     1000        0        0
BOARDWALKE PIPELINE LP                          096627104       18      600 SH       SOLE                        0        0      600
BOEING CO                   COM                 097023105       77      900 SH       SOLE                      900        0        0
BORG WARNER INC                                 099724106        8      100 SH       SOLE                      100        0        0
BORG WARNER INC                                 099724106       39      510 SH       DEFINED                   510        0        0
BRINKER INTL INC            COM                 109641100       49     1300 SH       DEFINED                  1300        0        0





                                                                     FORM 13F INFORMATION TABLE
                                                            VALUE    SHARES/  SH/ PUT/ INVSTMT    OTHER        VOTING AUTHORITY
    NAME OF ISSUER             TITLE OF CLASS     CUSIP     X$1000)  PRN AMT  PRN CALL DSCRETN    MANAGERS   SOLE    SHARED   NONE
--------------------------     ----------------   --------- -------- -------- --- ---- ------- ----------- ------- -------- --------
                                                                                           
BRISTOL MYERS SQUIBB CO     COM                 110122108      425    10317 SH       SOLE                    10317        0        0
BRISTOL MYERS SQUIBB CO     COM                 110122108       27      650 SH       DEFINED                   650        0        0
BROWN FORMAN CORP           CL B                115637209       54      750 SH       SOLE                      750        0        0
BRUNSWICK CORP                                  117043109        7      200 SH       SOLE                      200        0        0
CBRE GROUP INC CL A                             12504L109       22      890 SH       DEFINED                   890        0        0
CF INDS HLDGS INC           COM                 125269100      969     5090 SH       SOLE                     4693        0      397
CF INDS HLDGS INC           COM                 125269100        5       25 SH       DEFINED                    25        0        0
CME GROUP INC COM                               12572Q105      437     7110 SH       SOLE                     7060        0       50
CSX CORP                    COM                 126408103        7      300 SH       SOLE                      300        0        0
CVS/CAREMARK CORP           COM                 126650100      141     2560 SH       SOLE                     2560        0        0
CVS/CAREMARK CORP           COM                 126650100       49      900 SH       DEFINED                   900        0        0
CA INC                                          12673P105      443    17593 SH       SOLE                    17488        0      105
CA INC                                          12673P105       14      549 SH       DEFINED                   549        0        0
CABOT MICROELECTRONICS CORP                     12709P103       17      490 SH       DEFINED                   490        0        0
CALGON CARBON CORP                              129603106       20     1100 SH       SOLE                     1100        0        0
CALUMET SPECIALTY PROD LP                       131476103       19      500 SH       SOLE                      500        0        0
CAPITAL ONE FINANCIAL CORP                      14040H105      643    11707 SH       SOLE                    11027        0      680
CAPITAL ONE FINANCIAL CORP                      14040H105        2       30 SH       DEFINED                    30        0        0
CARDINAL HEALTH INC         COM                 14149Y108     1062    25530 SH       SOLE                    22935        0     2595
CARDINAL HEALTH INC         COM                 14149Y108       48     1145 SH       DEFINED                  1145        0        0
CAREFUSION CORP                                 14170T101       12      337 SH       SOLE                      337        0        0
CAREFUSION CORP                                 14170T101       45     1280 SH       DEFINED                  1280        0        0
CARNIVAL CORP                                   143658300        3      100 SH       SOLE                      100        0        0
CATERPILLAR INC DEL         COM                 149123101      240     2760 SH       SOLE                     2760        0        0
CATERPILLAR INC DEL         COM                 149123101       30      350 SH       DEFINED                   350        0        0
CELGENE CORP                                    151020104     1307    11281 SH       SOLE                    10825        0      456
CELGENE CORP                                    151020104       31      265 SH       DEFINED                   265        0        0
CELSION CORP                                    15117N305        1      726 SH       SOLE                      726        0        0
CENTERPOINT ENERGY INC                          15189T107      718    29995 SH       SOLE                    29810        0      185
CENTERPOINT ENERGY INC                          15189T107       23      943 SH       DEFINED                   943        0        0
DEPHEID                                         15670R107       40     1050 SH       DEFINED                  1050        0        0
CHEMED CORP INC                                 16359R103       28      355 SH       DEFINED                   355        0        0
CHEVRON CORPORATION NEW                         166764100     3961    33340 SH       SOLE                    32125        0     1215
CHEVRON CORPORATION NEW                         166764100       52      441 SH       DEFINED                   391        0       50





                                                                     FORM 13F INFORMATION TABLE
                                                            VALUE    SHARES/  SH/ PUT/ INVSTMT    OTHER        VOTING AUTHORITY
    NAME OF ISSUER             TITLE OF CLASS     CUSIP     X$1000)  PRN AMT  PRN CALL DSCRETN    MANAGERS   SOLE    SHARED   NONE
--------------------------     ----------------   --------- -------- -------- --- ---- ------- ----------- ------- -------- --------
                                                                                           
CHUBB CORP                  COM                 171232101      288     3285 SH       SOLE                     3285        0        0
CISCO SYS INC               COM                 17275R102     1573    75309 SH       SOLE                    66755        0     8554
CISCO SYS INC               COM                 17275R102       63     3030 SH       DEFINED                  3030        0        0
CITIGROUP INC COM NEW                           172967424        8      181 SH       SOLE                      181        0        0
CITRIX SYSTEMS INC                              177376100       49      675 SH       DEFINED                   675        0        0
CLAYMORE EXCHANGE TRADED FD                     18383Q853       22      934 SH       SOLE                      934        0        0
CLIFFS NATURAL RESOURCES INC                    18683K101        6      300 SH       SOLE                      300        0        0
CLOROX CO DEL               COM                 189054109       22      250 SH       SOLE                      250        0        0
CLOROX CO DEL               COM                 189054109        7       75 SH       DEFINED                     0        0       75
COACH INC                   COM                 189754104       14      285 SH       SOLE                      285        0        0
COCA COLA CO                COM                 191216100      461    11405 SH       SOLE                    11405        0        0
COCA COLA CO                COM                 191216100        6      150 SH       DEFINED                     0        0      150
COCA COLA ENTERPRISES NEW                       19122T109       43     1160 SH       DEFINED                  1160        0        0
COGNIZANT TECHNOLOGY SOL                        192446102     1104    14413 SH       SOLE                    13102        0     1311
COGNIZANT TECHNOLOGY SOL                        192446102       10      125 SH       DEFINED                   125        0        0
COMCAST CORP NEW CL A                           20030N101      106     2521 SH       SOLE                     2521        0        0
COMPANHIA PARANAENSE ENERGY                     20441B407       15     1000 SH       SOLE                     1000        0        0
CONAGRA FOODS INC           COM                 205887102       21      600 SH       SOLE                      600        0        0
CONCUR TECHNOLOGIES                             206708109       19      280 SH       DEFINED                   280        0        0
CONOCOPHILLIPS                                  20825C104     1838    30592 SH       SOLE                    28493        0     2099
CONOCOPHILLIPS                                  20825C104       19      322 SH       DEFINED                   322        0        0
CONSOLIDATED EDISON INC                         209115104      244     4000 SH       SOLE                     4000        0        0
CONSTELLATION BRANDS INC                        21036P108       12      250 SH       SOLE                      250        0        0
CORNING INC                 COM                 219350105       83     6258 SH       SOLE                     6258        0        0
COSTCO WHSL CORP NEW        COM                 22160K105       32      300 SH       SOLE                      300        0        0
COSTCO WHSL CORP NEW        COM                 22160K105      106     1000 SH       DEFINED                  1000        0        0
CREDIT SUISSE GROUP         SPONSORED ADR       225401108      132     5050 SH       SOLE                     5050        0        0
CREE INC                    COM                 225447101       43      790 SH       DEFINED                   790        0        0
CRESTWOOD MIDSTREAM PART                        226372100       17      700 SH       SOLE                      700        0        0
CUBIST PHARMACEUTICALS INC                      229678107        9      200 SH       SOLE                      200        0        0
CUMMINS INC                 COM                 231021106       23      195 SH       SOLE                      195        0        0
CURRENCY SHS AUSTRAILIAN ETF                    23129U101       24      226 SH       SOLE                      226        0        0
DANAHER CORP DEL            COM                 235851102     1233    19837 SH       SOLE                    18083        0     1754
DANAHER CORP DEL            COM                 235851102        6      100 SH       DEFINED                   100        0        0





                                                                     FORM 13F INFORMATION TABLE
                                                            VALUE    SHARES/  SH/ PUT/ INVSTMT    OTHER        VOTING AUTHORITY
    NAME OF ISSUER             TITLE OF CLASS     CUSIP     X$1000)  PRN AMT  PRN CALL DSCRETN    MANAGERS   SOLE    SHARED   NONE
--------------------------     ----------------   --------- -------- -------- --- ---- ------- ----------- ------- -------- --------
                                                                                           
DARDEN RESTAURANTS INC      COM                 237194105      692    13395 SH       SOLE                    13315        0       80
DARDEN RESTAURANTS INC      COM                 237194105       22      423 SH       DEFINED                   423        0        0
DARLING INTL INC                                237266101       25     1400 SH       SOLE                     1400        0        0
DAVITA INC                                      23918K108       45      380 SH       DEFINED                   380        0        0
DEALERTRACK HOLDINGS                            242309102       17      570 SH       DEFINED                   570        0        0
DEERE & CO                  COM                 244199105        9      100 SH       SOLE                      100        0        0
DELTA AIRLINES INC DEL                          247361702       63     3800 SH       DEFINED                  3800        0        0
DELUXE CORP                 COM                 248019101       55     1340 SH       DEFINED                  1340        0        0
DENTSPLY INTL INC NEW       COM                 249030107       34      800 SH       SOLE                      800        0        0
DIGI INTERNATIONAL INC                          253798102        9      980 SH       DEFINED                   980        0        0
WALT DISNEY                 COM DISNEY          254687106     2030    35752 SH       SOLE                    32920        0     2832
WALT DISNEY                 COM DISNEY          254687106        9      150 SH       DEFINED                   150        0        0
DISCOVERY COMM INC CLASS A                      25470F104        0        3 SH       SOLE                        3        0        0
DISCOVERY COMMUNICATIONS INC C                  25470F302        0        3 SH       SOLE                        3        0        0
DISCOVER FINANCIAL SERVICES                     254709108       52     1160 SH       DEFINED                  1160        0        0
DIRECTV COM                                     25490A309      998    17637 SH       SOLE                    16835        0      802
DIRECTV COM                                     25490A309        2       40 SH       DEFINED                    40        0        0
DOLBY LABORATORIES                              25659T107       34     1000 SH       SOLE                     1000        0        0
DOMINION RES INC VA NEW     COM                 25746U109      273     4688 SH       SOLE                     4688        0        0
DOVER CORP                  COM                 260003108       15      200 SH       SOLE                      200        0        0
DOVER CORP                  COM                 260003108       35      480 SH       DEFINED                   480        0        0
DOW CHEMICAL CO                                 260543103      140     4409 SH       SOLE                     4409        0        0
DRESSER RAND GROUP INC                          261608103       12      200 SH       SOLE                      200        0        0
DUPONT E I DENEMOURS & CO                       263534109      950    19327 SH       SOLE                    17515        0     1812
DUPONT E I DENEMOURS & CO                       263534109        7      140 SH       DEFINED                   140        0        0
DUKE ENERGY CORP NEW COM    NEW                 26441C204      744    10243 SH       SOLE                    10243        0        0
DUNKIN BRANDS INC                               265504100       29      797 SH       DEFINED                   797        0        0
EMERGING GBL BRAZIL - ETF                       268461829        8      400 SH       SOLE                      400        0        0
E M C CORP MASS             COM                 268648102      349    14620 SH       SOLE                    14620        0        0
E M C CORP MASS             COM                 268648102       38     1575 SH       DEFINED                  1575        0        0
ECOLAB INC                  COM                 278865100      113     1415 SH       DEFINED                  1415        0        0
EDISON INTL                 COM                 281020107      110     2194 SH       SOLE                     2194        0        0
ELLSWORTH FUND LTD COM                          289074106       19     2500 SH       SOLE                     2500        0        0





                                                                     FORM 13F INFORMATION TABLE
                                                            VALUE    SHARES/  SH/ PUT/ INVSTMT    OTHER        VOTING AUTHORITY
    NAME OF ISSUER             TITLE OF CLASS     CUSIP     X$1000)  PRN AMT  PRN CALL DSCRETN    MANAGERS   SOLE    SHARED   NONE
--------------------------     ----------------   --------- -------- -------- --- ---- ------- ----------- ------- -------- --------
                                                                                           
EMERSON ELEC CO             COM                 291011104     1414    25307 SH       SOLE                    24442        0      865
EMERSON ELEC CO             COM                 291011104       23      420 SH       DEFINED                   420        0        0
ENERGY TRANSFER PARTNERS LP                     29273R109       64     1268 SH       SOLE                     1268        0        0
ENTERGY CORP NEW            COM                 29364G103       21      330 SH       SOLE                      330        0        0
ENTERPRISE PRODUCTS         PARTNERS LP         293792107       72     1200 SH       SOLE                     1200        0        0
ENZO BIOCHEM INC                                294100102        3     1050 SH       SOLE                     1050        0        0
EXELON CORP                 COM                 30161N101     1724    50019 SH       SOLE                    48510        0     1509
EXELON CORP                 COM                 30161N101       42     1222 SH       DEFINED                  1222        0        0
EXELIS INC                                      30162A108       14     1300 SH       SOLE                     1300        0        0
EXXON MOBIL CORP            COM                 30231G102     6553    72723 SH       SOLE                    65122        0     7601
EXXON MOBIL CORP            COM                 30231G102      433     4810 SH       DEFINED                  4750        0       60
FACEBOOK                                        30303M102       26     1017 SH       SOLE                     1017        0        0
FACEBOOK                                        30303M102       44     1726 SH       DEFINED                  1726        0        0
FARO TECHNOLOGIES INC                           311642102       16      380 SH       DEFINED                   380        0        0
FEDEX CORP                                      31428X106       81      826 SH       SOLE                      826        0        0
FEDEX CORP                                      31428X106       41      419 SH       DEFINED                   419        0        0
FIFTH THIRD BANCORP         COM                 316773100       52     3160 SH       DEFINED                  3160        0        0
FIFTH ST FIN CORP                               31678A103       11     1000 SH       SOLE                     1000        0        0
FIRST FINL BANCORP OHIO                         320209109       98     6079 SH       SOLE                     6079        0        0
FIRST NIAGARA FINL INC                          33582V108       15     1748 SH       SOLE                     1748        0        0
FIRST TR MLP & ENERGY                           33739B104       21     1000 SH       SOLE                     1000        0        0
FISERV INC                  COM                 337738108       36      410 SH       DEFINED                   410        0        0
FIRSTENERGY CORP            COM                 337932107        7      156 SH       SOLE                      156        0        0
FLUOR CORP NEW              COM                 343412102       22      330 SH       SOLE                      330        0        0
FOOT LOCKER INC                                 344849104       41     1200 SH       DEFINED                  1200        0        0
FORD MOTOR CO                                   345370860      296    22519 SH       SOLE                    22519        0        0
FRONTIER COMMUNICATIONS CO                      35906A108        8     1903 SH       SOLE                     1277        0      626
GATX CORP                                       361448103       55     1060 SH       DEFINED                  1060        0        0
GDL FUND                                        361570104        1       56 SH       SOLE                       56        0        0
GABELLI DIVIDEND & INC                          36242H104        0       25 SH       SOLE                       25        0        0
GANNETT INC                 COM                 364730101        2      100 SH       SOLE                      100        0        0
GENERAL DYNAMICS CORP       COM                 369550108      525     7448 SH       SOLE                     7414        0       34
GENERAL DYNAMICS CORP       COM                 369550108       13      183 SH       DEFINED                   183        0        0

 



                                                                     FORM 13F INFORMATION TABLE
                                                            VALUE    SHARES/  SH/ PUT/ INVSTMT    OTHER        VOTING AUTHORITY
    NAME OF ISSUER             TITLE OF CLASS     CUSIP     X$1000)  PRN AMT  PRN CALL DSCRETN    MANAGERS   SOLE    SHARED   NONE
--------------------------     ----------------   --------- -------- -------- --- ---- ------- ----------- ------- -------- --------
                                                                                           
GENERAL ELECTRIC CO         COM                 369604103     4053   175405 SH       SOLE                   153477        0    21928
GENERAL ELECTRIC CO         COM                 369604103       96     4134 SH       DEFINED                  4134        0        0
GENERAL MLS INC             COM                 370334104      327     6641 SH       SOLE                     6641        0        0
GENTEX CORP                                     371901109       28     1375 SH       DEFINED                  1375        0        0
GENUINE PARTS CO            COM                 372460105      129     1650 SH       SOLE                     1650        0        0
GILEAD SCIENCES INC         COM                 375558103      128     2625 SH       SOLE                     2625        0        0
GLAXO HOLDINGS PLC
  SPONSORED ADR                                 37733W105       47     1000 SH       SOLE                     1000        0        0
GOOGLE INC                                      38259P508      540      680 SH       SOLE                      680        0        0
GOOGLE INC                                      38259P508       96      121 SH       DEFINED                   121        0        0
GRAINGER W W INC            COM                 384802104      381     1695 SH       SOLE                     1695        0        0
GRAINGER W W INC            COM                 384802104       39      175 SH       DEFINED                   175        0        0
GRANITE CONSTRUCTION                            387328107       13      400 SH       SOLE                      400        0        0
GREAT PLAINS ENERGY INC     COM                 391164100       46     2000 SH       SOLE                     2000        0        0
GREEN MTN COFFEE ROASTERS                       393122106       52      920 SH       DEFINED                   920        0        0
GREENWAY MED TECHNOLOGYS                        39679B103       18     1145 SH       DEFINED                  1145        0        0
HCP INC                                         40414L109       62     1243 SH       SOLE                     1243        0        0
HALLIBURTON CO              COM                 406216101      242     5985 SH       SOLE                     5985        0        0
HARLEY DAVIDSON INC         COM                 412822108       12      219 SH       SOLE                      219        0        0
HARRIS CORP                                     413875105      462     9976 SH       SOLE                     9922        0       54
HARRIS CORP                                     413875105       12      268 SH       DEFINED                   268        0        0
HARTFORD FINL SVCS
 GROUP INC                  COM                 416515104       27     1028 SH       SOLE                        0        0     1028
HELMERICH & PAYNE INC       COM                 423452101        9      155 SH       SOLE                      155        0        0
HERCULES OFFSHORE INC                           427093109       33     4500 SH       SOLE                     4500        0        0
HERSHEY CO COM                                  427866108       13      150 SH       SOLE                      150        0        0
HEWLETT PACKARD CO          COM                 428236103       13      550 SH       SOLE                      550        0        0
HEWLETT PACKARD CO          COM                 428236103        5      200 SH       DEFINED                   200        0        0
HOME DEPOT INC              COM                 437076102     1560    22350 SH       SOLE                    22130        0      220
HOME DEPOT INC              COM                 437076102       69      987 SH       DEFINED                   987        0        0
HOME PPTYS INC                                  437306103       55      868 SH       DEFINED                   868        0        0
HONEYWELL INTL INC          COM                 438516106      414     5500 SH       SOLE                     5500        0        0
HORMEL FOODS                                    440452100       25      600 SH       DEFINED                   600        0        0
HOSPITALITY PROPERTIES      TRUST               44106M102      113     4130 SH       SOLE                     4130        0        0
HUBBELL INC                 CL B                443510201       40      416 SH       DEFINED                   416        0        0

 



                                                                     FORM 13F INFORMATION TABLE
                                                            VALUE    SHARES/  SH/ PUT/ INVSTMT    OTHER        VOTING AUTHORITY
    NAME OF ISSUER             TITLE OF CLASS     CUSIP     X$1000)  PRN AMT  PRN CALL DSCRETN    MANAGERS   SOLE    SHARED   NONE
--------------------------     ----------------   --------- -------- -------- --- ---- ------- ----------- ------- -------- --------
                                                                                           
HUDSON VALLEY HOLDING       CORP                444172100        9      605 SH       SOLE                      605        0        0
HUMANA INC                  COM                 444859102       70     1010 SH       SOLE                     1010        0        0
HUNTINGTON INGALLS INDS INC                     446413106        9      166 SH       SOLE                      166        0        0
IPC HOSPITALIST CO                              44984A105       22      485 SH       DEFINED                   485        0        0
ITT CORP NEW COM                                450911201       18      650 SH       SOLE                      650        0        0
IDACORP INC                 COM                 451107106       29      600 SH       SOLE                      600        0        0
IHS INC A                                       451734107       35      330 SH       DEFINED                   330        0        0
ILLINOIS TOOL WKS INC       COM                 452308109       44      715 SH       SOLE                      715        0        0
ILLINOIS TOOL WKS INC       COM                 452308109       73     1200 SH       DEFINED                  1200        0        0
IMMUNOGEN INC                                   45253H101       54     3385 SH       SOLE                     3385        0        0
INGREDION INC                                   457187102       11      150 SH       SOLE                        0        0      150
INGREDION INC                                   457187102       46      640 SH       DEFINED                   640        0        0
INNERWORKINGS INC                               45773Y105       31     2015 SH       DEFINED                  2015        0        0
INTEL CORP                  COM                 458140100     2094    95951 SH       SOLE                    87864        0     8087
INTEL CORP                  COM                 458140100       96     4419 SH       DEFINED                  4419        0        0
INTEGRYS ENERGY GROUP INC   COM                 45822P105        2       41 SH       SOLE                       41        0        0
INTERCONTINTENALEXCHANGE                        45865V100      104      635 SH       SOLE                      635        0        0
INTERNATIONAL BUSINESS MACH COM                 459200101     6258    29340 SH       SOLE                    28383        0      957
INTERNATIONAL BUSINESS MACH COM                 459200101      225     1055 SH       DEFINED                  1055        0        0
INTERNATIONAL FLAVORS&
  FRAGRA                    COM                 459506101       23      300 SH       SOLE                      300        0        0
INTERNATIONAL FLAVORS&
  FRAGRA                    COM                 459506101        7       90 SH       DEFINED                     0        0       90
INTUITIVE SURGICAL INC      COM NEW             46120E602       19       38 SH       DEFINED                    38        0        0
INTUIT                      COM                 461202103       49      745 SH       DEFINED                   745        0        0
ISHARES SILVER TRUST - ETF                      46428Q109       60     2200 SH       SOLE                     2200        0        0
ISHARES S & P GLOBAL        COMMM INDEX ETF     46428R107       68     2081 SH       SOLE                     2055        0       26
ISHARES MSCI BRAZIL CAPPED  INDEX FND ETF       464286400       28      520 SH       SOLE                      520        0        0
ISHARES MSCI CANADA - ETF                       464286509     2253    79062 SH       SOLE                    78258       20      784
ISHARES MSCI CANADA - ETF                       464286509       17      604 SH       DEFINED                   604        0        0
ISHARES PAC INDX ETF                            464286665       48      975 SH       SOLE                      975        0        0
ISHAS MSCI SINGAPORE INX ETF                    464286673       13      900 SH       SOLE                      900        0        0
ISHARES BARCLAYS TIPS BOND  FUND -ETF           464287176      539     4442 SH       SOLE                     4442        0        0
ISHARES TR   FTSE XNHUA IDX - ETF               464287184        4      100 SH       SOLE                      100        0        0
ISHARES S&P 500 INDX FD-ETF                     464287200       75      475 SH       SOLE                      475        0        0





                                                                     FORM 13F INFORMATION TABLE
                                                            VALUE    SHARES/  SH/ PUT/ INVSTMT    OTHER        VOTING AUTHORITY
    NAME OF ISSUER             TITLE OF CLASS     CUSIP     X$1000)  PRN AMT  PRN CALL DSCRETN    MANAGERS   SOLE    SHARED   NONE
--------------------------     ----------------   --------- -------- -------- --- ---- ------- ----------- ------- -------- --------
                                                                                           
ISHARES BARCLAYS AGGREGATE  BOND FUND - ETF     464287226    20617   186195 SH       SOLE                   185537      165      493
ISHARES BARCLAYS AGGREGATE  BOND FUND - ETF     464287226      172     1551 SH       DEFINED                  1551        0        0
ISHARES MSCI EMERG MKTS-ETF                     464287234     1620    37880 SH       SOLE                    37820        0       60
ISHS S & P 500 GRW INX-ETF                      464287309     4941    59985 SH       SOLE                    59612       34      339
ISHS S & P 500 GRW INX-ETF                      464287309       15      186 SH       DEFINED                   186        0        0
ISHARES TR MSCI EAFE IDX ETFADR                 464287465     2964    50263 SH       SOLE                    49763        0      500
ISHS TR S&P MIDCAP 400 - ETF                    464287507    11421    99256 SH       SOLE                    93166       14     6076
ISHS TR S&P MIDCAP 400 - ETF                    464287507      117     1016 SH       DEFINED                  1016        0        0
ISHARES TR RUSSELL 2000     VALUE INDEX - ETF   464287630      583     6955 SH       SOLE                     6955        0        0
ISHARES RUSSELL 2000        GRWTH INDX FD - ETF 464287648     3563    33100 SH       SOLE                    28102        0     4998
ISHARES RUSSELL 2000        GRWTH INDX FD - ETF 464287648       65      600 SH       DEFINED                   600        0        0
ISHARES TR SMALLCAP 600  ETF                    464287804     4124    47370 SH       SOLE                    46600       12      758
ISHARES TR SMALLCAP 600  ETF                    464287804       17      193 SH       DEFINED                   193        0        0
ISHARES TR S&P              SMLCP VALU - ETF    464287879     8097    90044 SH       SOLE                    88698       24     1322
ISHARES TR S&P              SMLCP VALU - ETF    464287879       32      352 SH       DEFINED                   352        0        0
ISHARES S & P GLOBAL                            464288372       80     2150 SH       SOLE                     2150        0        0
ISHARES TRUST HI YLD - ETF                      464288513      990    10490 SH       SOLE                    10490        0        0
ISHS BARKLAYS MBS BDFD ETF                      464288588       62      575 SH       SOLE                      575        0        0
ISHS BARCLAYS 1-3 CREDIT-ETF                    464288646      374     3540 SH       SOLE                     3540        0        0
ISHARES PERU - ETF                              464289842        9      200 SH       SOLE                      200        0        0
ISHARES TR USA MIN VOL ETF                      46429B697     5098   155682 SH       SOLE                   154738       89      855
ISHARES TR USA MIN VOL ETF                      46429B697       16      480 SH       DEFINED                   480        0        0
J P MORGAN CHASE & CO                           46625H100     2653    55914 SH       SOLE                    52903        0     3011
J P MORGAN CHASE & CO                           46625H100       48     1005 SH       DEFINED                  1005        0        0
JOHNSON & JOHNSON           COM                 478160104     3539    43407 SH       SOLE                    39869        0     3538
JOHNSON & JOHNSON           COM                 478160104      242     2963 SH       DEFINED                  2963        0        0
JOHNSON CTLS INC            COM                 478366107      299     8520 SH       SOLE                     8520        0        0
JOHNSON CTLS INC            COM                 478366107       31      875 SH       DEFINED                   875        0        0
KLA-TENCOR CORP                                 482480100       48      910 SH       DEFINED                   910        0        0
KELLOGG CO                  COM                 487836108      450     6992 SH       SOLE                     6774        0      218
KEYCORP NEW                 COM                 493267108        2      242 SH       SOLE                      242        0        0
KIMBERLY CLARK CORP         COM                 494368103     1425    14543 SH       SOLE                    14323        0      220
KIMBERLY CLARK CORP         COM                 494368103       94      962 SH       DEFINED                   962        0        0





                                                                     FORM 13F INFORMATION TABLE
                                                            VALUE    SHARES/  SH/ PUT/ INVSTMT    OTHER        VOTING AUTHORITY
    NAME OF ISSUER             TITLE OF CLASS     CUSIP     X$1000)  PRN AMT  PRN CALL DSCRETN    MANAGERS   SOLE    SHARED   NONE
--------------------------     ----------------   --------- -------- -------- --- ---- ------- ----------- ------- -------- --------
                                                                                           
KINDER MORGAN ENERGY PARTNER
  LTD PARTNER                                   494550106       10      115 SH       SOLE                      115        0        0
KOHLS CORP                  COM                 500255104       62     1340 SH       SOLE                     1340        0        0
KONINKLIJKE PHILIPS ELECTRS NV SP ADR           500472303       33     1101 SH       SOLE                     1101        0        0
KONINKLIJKE PHILIPS ELECTRS NV SP ADR           500472303       21      700 SH       DEFINED                   700        0        0
KRAFT FOODS GRP INC                             50076Q106      867    16821 SH       SOLE                    16667        0      154
KRAFT FOODS GRP INC                             50076Q106       25      482 SH       DEFINED                   482        0        0
KROGER CO                   COM                 501044101       54     1640 SH       DEFINED                  1640        0        0
KRONOS WORLDWIDE INC                            50105F105       23     1500 SH       SOLE                     1500        0        0
LKQ CORP                                        501889208       46     2125 SH       DEFINED                  2125        0        0
L S I CORPORATION                               502161102       51     7500 SH       SOLE                     7500        0        0
LEAPFROG ENTERPRISES INC                        52186N106        1      100 SH       SOLE                      100        0        0
LIBERTY GLOBAL INC                              530555101        0        3 SH       SOLE                        3        0        0
LIBERTY GLOBAL INC          COM SER A           530555309        0        3 SH       SOLE                        3        0        0
LIBERTY INTERACTIVE CORP    COMM SER A          53071M104        0       19 SH       SOLE                       19        0        0
LILLY ELI & CO              COM                 532457108      722    12723 SH       SOLE                    11697        0     1026
LILLY ELI & CO              COM                 532457108       21      369 SH       DEFINED                   369        0        0
LINDSAY CORP                                    535555106       18      200 SH       SOLE                      200        0        0
LINEAR TECHNOLOGY CORP      COM                 535678106       26      670 SH       DEFINED                   670        0        0
LINN ENERGY                                     536020100       27      702 SH       DEFINED                   702        0        0
LOCKHEED MARTIN CORP        COM                 539830109      292     3028 SH       SOLE                     2953        0       75
LOCKHEED MARTIN CORP        COM                 539830109       15      160 SH       DEFINED                   160        0        0
LOWES COS INC               COM                 548661107     1401    36963 SH       SOLE                    33619        0     3344
LOWES COS INC               COM                 548661107        5      125 SH       DEFINED                   125        0        0
MDU RES GROUP INC           COM                 552690109       12      500 SH       SOLE                      500        0        0
MDU RES GROUP INC           COM                 552690109       20      790 SH       DEFINED                   790        0        0
MACYS INC COM                                   55616P104       40      960 SH       DEFINED                   960        0        0
MAGELLAN MIDSTREAM LP                           559080106       43      800 SH       SOLE                      800        0        0
MANACHIP SEMICONDUCTOR                          55933J203       43     2500 SH       DEFINED                  2500        0        0
MANULIFE FINL CORP COM                          56501R106       19     1288 SH       SOLE                     1288        0        0
MARATHON OIL CORP                               565849106        7      200 SH       SOLE                      200        0        0
MARATHON PETE CORP                              56585A102      913    10188 SH       SOLE                     9546        0      642
MARATHON PETE CORP                              56585A102        3       30 SH       DEFINED                    30        0        0
MARKET VECOTRS COAL ETF                         57060U837       42     1838 SH       SOLE                     1838        0        0





                                                                     FORM 13F INFORMATION TABLE
                                                            VALUE    SHARES/  SH/ PUT/ INVSTMT    OTHER        VOTING AUTHORITY
    NAME OF ISSUER             TITLE OF CLASS     CUSIP     X$1000)  PRN AMT  PRN CALL DSCRETN    MANAGERS   SOLE    SHARED   NONE
--------------------------     ----------------   --------- -------- -------- --- ---- ------- ----------- ------- -------- --------
                                                                                           
MARRIOTT VACATIONS WORLDWIDE                    57164Y107        4      100 SH       SOLE                      100        0        0
MARRIOTT INTL INC NEW  CLA                      571903202       43     1009 SH       SOLE                     1009        0        0
MARRIOTT INTL INC NEW  CLA                      571903202       60     1418 SH       DEFINED                  1418        0        0
MASTERCARD INC                                  57636Q104       24       45 SH       SOLE                       45        0        0
MATTEL INC                  COM                 577081102      106     2425 SH       SOLE                     2425        0        0
MATTEL INC                  COM                 577081102       47     1080 SH       DEFINED                  1080        0        0
MAXIM INTEGRATED PRODS INC  COM                 57772K101      440    13472 SH       SOLE                    13392        0       80
MAXIM INTEGRATED PRODS INC  COM                 57772K101        9      289 SH       DEFINED                   289        0        0
MAXWELL TECHNOLOGIES INC                        577767106        4      780 SH       DEFINED                   780        0        0
MAXUMUS INC                                     577933104       46      580 SH       DEFINED                   580        0        0
MCDONALDS CORP              COM                 580135101     1640    16452 SH       SOLE                    15737        0      715
MCDONALDS CORP              COM                 580135101      127     1275 SH       DEFINED                  1275        0        0
MCGRAW HILL COS INC         COM                 580645109       35      665 SH       DEFINED                   665        0        0
MCKESSON CORPORATION        COM                 58155Q103      740     6857 SH       SOLE                     6443        0      414
MCKESSON CORPORATION        COM                 58155Q103        2       20 SH       DEFINED                    20        0        0
MEDTRONIC INC               COM                 585055106        2       50 SH       SOLE                       50        0        0
MENTOR GRAPHICS CORP                            587200106       11      600 SH       SOLE                      600        0        0
MERCK & CO INC NEW COM                          58933Y105      783    17723 SH       SOLE                    14928        0     2795
MERCK & CO INC NEW COM                          58933Y105       21      471 SH       DEFINED                   471        0        0
METLIFE INC                 COM                 59156R108     1405    36959 SH       SOLE                    34037        0     2922
METLIFE INC                 COM                 59156R108        6      150 SH       DEFINED                   150        0        0
METROPCS COMMUNICATIONS                         591708102      715    65578 SH       SOLE                    61636        0     3942
METROPCS COMMUNICATIONS                         591708102        2      175 SH       DEFINED                   175        0        0
MEXICO EQUITY & INCOME FUND                     592834105        3      172 SH       SOLE                      172        0        0
MEXICO FD INC               COM                 592835102       13      367 SH       SOLE                      367        0        0
MICROSOFT CORP              COM                 594918104     2510    87773 SH       SOLE                    81516        0     6257
MICROSOFT CORP              COM                 594918104       94     3279 SH       DEFINED                  3279        0        0
MICROVISION INC DEL COM NEW                     594960304        0      125 SH       SOLE                      125        0        0
MICROCHIP TECHNOLOGY INC    COM                 595017104      626    17012 SH       SOLE                    16937        0       75
MICROCHIP TECHNOLOGY INC    COM                 595017104       47     1275 SH       DEFINED                  1275        0        0
MOBIL MINI INC                                  60740F105       36     1230 SH       DEFINED                  1230        0        0
MONDELEZ INTERNATIONAL INC                      609207105      296     9661 SH       SOLE                     9461        0      200
MONDELEZ INTERNATIONAL INC                      609207105       72     2350 SH       DEFINED                  2350        0        0

 



                                                                     FORM 13F INFORMATION TABLE
                                                            VALUE    SHARES/  SH/ PUT/ INVSTMT    OTHER        VOTING AUTHORITY
    NAME OF ISSUER             TITLE OF CLASS     CUSIP     X$1000)  PRN AMT  PRN CALL DSCRETN    MANAGERS   SOLE    SHARED   NONE
--------------------------     ----------------   --------- -------- -------- --- ---- ------- ----------- ------- -------- --------
                                                                                           
MONSANTO CO (NEW)                               61166W101      129     1225 SH       SOLE                     1175        0       50
MONSTER BEVERAGE CORP COM                       611740101       28      580 SH       SOLE                      580        0        0
MORGAN STANLEY              DISCOVER & CO       617446448       12      536 SH       SOLE                      536        0        0
MURPHY OIL CORP             COM                 626717102      102     1605 SH       SOLE                     1605        0        0
NBT BANCORP INC             COM                 628778102     2213    99975 SH       SOLE                    35562        0    64413
NBT BANCORP INC             COM                 628778102      193     8711 SH       DEFINED                  8711        0        0
NATIONAL INSTRUMENTS CORP                       636518102       38     1165 SH       DEFINED                  1165        0        0
NATIONAL OILWELL VARCO INC                      637071101     1163    16446 SH       SOLE                    15069        0     1377
NATIONAL OILWELL VARCO INC                      637071101        6       82 SH       DEFINED                    82        0        0
NEOGEN CORP                                     640491106       36      735 SH       DEFINED                   735        0        0
NEWMONT MIN CO (HOLD CO)    COM                 651639106       21      500 SH       SOLE                      500        0        0
NEXTERA ENERGY INC COM                          65339F101      270     3475 SH       SOLE                     3475        0        0
NIKE INC                    CL B                654106103     1637    27737 SH       SOLE                    25317        0     2420
NIKE INC                    CL B                654106103       38      640 SH       DEFINED                   640        0        0
NORFOLK SOUTHERN CORP       COM                 655844108       77     1000 SH       SOLE                     1000        0        0
NORTHROP GRUMMAN CORP COM                       666807102       70      996 SH       SOLE                      996        0        0
NOVARTIS AG SPNSRD ADR                          66987V109       85     1195 SH       SOLE                     1195        0        0
NOVO NORDISK A/S ADR                            670100205       65      400 SH       SOLE                      400        0        0
NOVO NORDISK A/S ADR                            670100205       29      182 SH       DEFINED                   182        0        0
NUCOR CORP                  COM                 670346105      159     3444 SH       SOLE                     3369        0       75
NUCOR CORP                  COM                 670346105        3       65 SH       DEFINED                    65        0        0
NUVEEN NY PERFORMANCE PLUS  MUNI INC            67062R104       76     4600          SOLE                     4600        0        0
NVIDIA CORP                                     67066G104      697    54302 SH       SOLE                    51306        0     2996
NVIDIA CORP                                     67066G104        2      150 SH       DEFINED                   150        0        0
NUVEEN NY MUNI                                  67066X107        8      526          SOLE                      526        0        0
NUVEEN INTER DURATION                           670671106       14     1000 SH       SOLE                     1000        0        0
NUVEEN ENERGY MLP TOTAL RET                     67074U103        1       45 SH       SOLE                       45        0        0
NUVEEN REAL ASSET INCOME                        67074Y105       20     1000 SH       SOLE                     1000        0        0
OCCIDENTAL PETE CORP DEL    COM                 674599105       24      300 SH       SOLE                      300        0        0
ORACLE CORP                 COM                 68389X105     1550    47975 SH       SOLE                    44892        0     3083
ORACLE CORP                 COM                 68389X105      118     3662 SH       DEFINED                  3662        0        0
PG&E CORP                   COM                 69331C108      270     6059 SH       SOLE                     5859        0      200
PG&E CORP                   COM                 69331C108        8      175 SH       DEFINED                   175        0        0

                                                                  FORM 13F INFORMATION TABLE




                                                                     FORM 13F INFORMATION TABLE
                                                            VALUE    SHARES/  SH/ PUT/ INVSTMT    OTHER        VOTING AUTHORITY
    NAME OF ISSUER             TITLE OF CLASS     CUSIP     X$1000)  PRN AMT  PRN CALL DSCRETN    MANAGERS   SOLE    SHARED   NONE
--------------------------     ----------------   --------- -------- -------- --- ---- ------- ----------- ------- -------- --------
                                                                                           
PNC FINL SVCS GROUP INC     COM                 693475105      429     6455 SH       SOLE                     6455        0        0
PACIFIC COAST OIL TR                            694103102        9      500 SH       SOLE                      500        0        0
PALL CORP                   COM                 696429307       31      450 SH       SOLE                      450        0        0
PARKER HANNIFIN CORP        COM                 701094104        9      100 SH       SOLE                      100        0        0
PAYCHEX INC                 COM                 704326107      158     4510 SH       SOLE                     4510        0        0
PEPSICO INC                 COM                 713448108     2225    28125 SH       SOLE                    26350        0     1775
PEPSICO INC                 COM                 713448108       95     1200 SH       DEFINED                  1200        0        0
PFIZER INC                  COM                 717081103     2604    90220 SH       SOLE                    74111        0    16109
PFIZER INC                  COM                 717081103      267     9245 SH       DEFINED                  9245        0        0
PHILIP MORRIS INTERNATIONAL INC COM             718172109      994    10725 SH       SOLE                    10688        0       37
PHILIP MORRIS INTERNATIONAL INC COM             718172109       54      585 SH       DEFINED                   585        0        0
PHILLIPS 66 COM                                 718546104      119     1701 SH       SOLE                     1484        0      217
PIEDMONT NATURAL GAS CO                         720186105       11      332 SH       DEFINED                   332        0        0
PLUM CREEK TIMBER CO INC    COM                 729251108       78     1500 SH       SOLE                     1500        0        0
PORTLAND GEN ELECTRIC CO                        736508847       30     1000 SH       SOLE                     1000        0        0
POWER INTEGRATIONS INC                          739276103       27      620 SH       DEFINED                   620        0        0
PWRSHS QQQ TR UN SER 1 - ETF                    73935A104       25      357 SH       SOLE                      357        0        0
POWERSHARES EXCHANGE                            73935X195       51     4545 SH       SOLE                     4545        0        0
POWER SHARES GOLDEN DRAGON  USX CHINA - ETF     73935X401       53     2780 SH       SOLE                     2780        0        0
POWERSHARES SENIOR LOAN ETF                     73936Q769      400    15950 SH       SOLE                    15950        0        0
POWERSHARES PFD - ETF                           73936T565     3831   257456 SH       SOLE                   254766        0     2690
POWERSHARES PFD - ETF                           73936T565      119     8018 SH       DEFINED                  8018        0        0
POWER SHS S&P 500 -ETF                          73937B779    14476   465920 SH       SOLE                   462658      274     2988
POWER SHS S&P 500 -ETF                          73937B779       78     2503 SH       DEFINED                  2503        0        0
PRAXAIR INC                 COM                 74005P104       22      195 SH       DEFINED                   195        0        0
PRECISION CASTPARTS CORP                        740189105     1321     6965 SH       SOLE                     6436        0      529
PRECISION CASTPARTS CORP                        740189105       64      338 SH       DEFINED                   338        0        0
PRICE T ROWE & ASSOCIATES   COM                 74144T108      108     1445 SH       SOLE                     1445        0        0
PRICE T ROWE & ASSOCIATES   COM                 74144T108       41      549 SH       DEFINED                   549        0        0
PRICELINE COM INC                               741503403      736     1069 SH       SOLE                     1015        0       54
PRICELINE COM INC                               741503403        2        3 SH       DEFINED                     3        0        0
PROCTER & GAMBLE CO         COM                 742718109     3041    39464 SH       SOLE                    36859        0     2605
PROCTER & GAMBLE CO         COM                 742718109      127     1643 SH       DEFINED                  1643        0        0





                                                                     FORM 13F INFORMATION TABLE
                                                            VALUE    SHARES/  SH/ PUT/ INVSTMT    OTHER        VOTING AUTHORITY
    NAME OF ISSUER             TITLE OF CLASS     CUSIP     X$1000)  PRN AMT  PRN CALL DSCRETN    MANAGERS   SOLE    SHARED   NONE
--------------------------     ----------------   --------- -------- -------- --- ---- ------- ----------- ------- -------- --------
                                                                                           
PRUDENTIAL FINANCIAL INC    COM                 744320102       22      380 SH       SOLE                      380        0        0
PUBLIC SVC ENTERPRISE GROUP COM                 744573106      945    27512 SH       SOLE                    27350        0      162
PUBLIC SVC ENTERPRISE GROUP COM                 744573106       16      480 SH       DEFINED                   480        0        0
QEP RES INC                                     74733V100       43     1355 SH       SOLE                     1355        0        0
QUALCOMM INC                COM                 747525103      418     6250 SH       SOLE                     6250        0        0
QUALCOMM INC                COM                 747525103       85     1275 SH       DEFINED                  1275        0        0
QUESTCOR PHARMACEUTICALS INC                    74835Y101       44     1340 SH       DEFINED                  1340        0        0
QUESTAR CORP                COM                 748356102       33     1370 SH       SOLE                     1370        0        0
RF MICRODEVICES INC         COM                 749941100        9     1600 SH       SOLE                     1600        0        0
RACKSPACE HOSTING INC.                          750086100       10      195 SH       SOLE                      195        0        0
RALPH LAUREN CORP CL A                          751212101       16       95 SH       SOLE                       95        0        0
RAYTHEON CO CLASS B         COM                 755111507       44      740 SH       SOLE                      740        0        0
REYNOLDS AMERN INC                              761713106      180     4040 SH       SOLE                     4040        0        0
RIO TINTO PLC SPON ADR                          767204100       19      400 SH       SOLE                      400        0        0
ROCKWELL INTL CORP NEW      COM                 773903109       17      195 SH       SOLE                      195        0        0
ROCKWOOD HOLDINGS INC                           774415103       35      535 SH       DEFINED                   535        0        0
ROPER INDUSTRIES INC. NEW                       776696106       13      100 SH       SOLE                      100        0        0
ROPER INDUSTRIES INC. NEW                       776696106       27      210 SH       DEFINED                   210        0        0
ROSS STORES INC             COM                 778296103       38      625 SH       SOLE                      625        0        0
ROYAL BK SCOTLAND GROUP     PLC                 780097796       10      441 SH       SOLE                      441        0        0
ROYAL DUTCH SHELL PLC       SPON ADR B          780259107       83     1240 SH       SOLE                     1240        0        0
ROYAL DUTCH PETE CO                             780259206      222     3405 SH       SOLE                      375        0     3030
S & P DEP RECEIPTS - ETF                        78462F103       41      261 SH       SOLE                      261        0        0
SPDR GOLD TRUST             GOLD SHS - ETF      78463V107      350     2265 SH       SOLE                     2265        0        0
BARCLAYS CAPITAL INTL - ETF                     78464A516        6      100 SH       SOLE                      100        0        0
SPDR SR TR BARCLAYS - ETF                       78464A680       24      523 SH       SOLE                      523        0        0
SPDR S & P DIVIDEND - ETF                       78464A763      539     8175 SH       SOLE                     8175        0        0
SPDR DOW JONES INDL AVG- ETF                    78467X109       26      178 SH       SOLE                      178        0        0
SALESFORCE COM INC                              79466L302       20      114 SH       DEFINED                   114        0        0
SANOFI-AVENTIS                                  80105N105       15      300 SH       SOLE                      300        0        0
SCANA CORP NEW              COM                 80589M102        5      100 SH       SOLE                      100        0        0
SCHLUMBERGER LTD            COM                 806857108      164     2184 SH       SOLE                     2184        0        0
SCHLUMBERGER LTD            COM                 806857108      166     2220 SH       DEFINED                  2150        0       70





                                                                     FORM 13F INFORMATION TABLE
                                                            VALUE    SHARES/  SH/ PUT/ INVSTMT    OTHER        VOTING AUTHORITY
    NAME OF ISSUER             TITLE OF CLASS     CUSIP     X$1000)  PRN AMT  PRN CALL DSCRETN    MANAGERS   SOLE    SHARED   NONE
--------------------------     ----------------   --------- -------- -------- --- ---- ------- ----------- ------- -------- --------
                                                                                           

SCHWAB CHARLES CORP NEW     COM                 808513105       19     1072 SH       DEFINED                  1072        0        0
SCIQUEST INC NEW                                80908T101       23      960 SH       DEFINED                   960        0        0
SELECTIVE INS GRP INC       C/C                 816300107       35     1438 SH       SOLE                     1438        0        0
SENECA FOODS CORP NEW       CL B                817070105        2       50 SH       SOLE                       50        0        0
SENECA FOODS CORP NEW       CL A                817070501        2       50 SH       SOLE                       50        0        0
SIGMA ALDRICH CORP          COM                 826552101      656     8455 SH       SOLE                     7580        0      875
SIGMA ALDRICH CORP          COM                 826552101       50      640 SH       DEFINED                   640        0        0
SIMON PPTY GROUP INC NEW                        828806109       58      365 SH       SOLE                        0        0      365
SOUTHERN COMPANY                                842587107      616    13139 SH       SOLE                    12184        0      955
SOUTHERN COMPANY                                842587107       25      525 SH       DEFINED                   525        0        0
SOUTHERN COPPER CORP                            84265V105      133     3553 SH       SOLE                     3553        0        0
SOUTHWESTERN ENERGY CO      COM                 845467109      229     6145 SH       SOLE                     6145        0        0
SPECTRA ENERGY CORP COM                         847560109      106     3438 SH       SOLE                     3338        0      100
SPECTRA ENERGY CORP COM                         847560109        3      100 SH       DEFINED                   100        0        0
SPROTT PHYSICAL PLATINUM                        85207Q104       20     2000 SH       SOLE                     2000        0        0
STARBUCKS CORP              COM                 855244109       16      285 SH       SOLE                      285        0        0
STATE STREET CORP           COM                 857477103     1232    20848 SH       SOLE                    18761        0     2087
STATE STREET CORP           COM                 857477103        4       75 SH       DEFINED                    75        0        0
STERICYCLE INC                                  858912108       41      390 SH       DEFINED                   390        0        0
STERIS CORP                                     859152100        8      200 SH       SOLE                      200        0        0
STONE HBR EMERGING MKTS                         86164W100       12      500 SH       SOLE                      500        0        0
STRYKER CORP                                    863667101      104     1595 SH       SOLE                     1595        0        0
STRYKER CORP                                    863667101       65     1000 SH       DEFINED                  1000        0        0
SUFFOLK BANCORP             COM                 864739107       46     3244 SH       SOLE                     3244        0        0
SUNCOKE ENERGY INC                              86722A103        9      571 SH       SOLE                      571        0        0
SWISS HELVETIA FUND                             870875101        4      300 SH       SOLE                      300        0        0
SYMANTEC CORP               COM                 871503108       42     1700 SH       DEFINED                  1700        0        0
SYSCO CORP                  COM                 871829107      352    10006 SH       SOLE                     9906        0      100
SYSCO CORP                  COM                 871829107        3       85 SH       DEFINED                    85        0        0
TECO ENERGY INC                                 872375100      880    49426 SH       SOLE                    49139        0      287
TECO ENERGY INC                                 872375100       15      865 SH       DEFINED                   865        0        0
TJX COS INC NEW             COM                 872540109     1490    31882 SH       SOLE                    29668        0     2214
TJX COS INC NEW             COM                 872540109        7      140 SH       DEFINED                   140        0        0





                                                                     FORM 13F INFORMATION TABLE
                                                            VALUE    SHARES/  SH/ PUT/ INVSTMT    OTHER        VOTING AUTHORITY
    NAME OF ISSUER             TITLE OF CLASS     CUSIP     X$1000)  PRN AMT  PRN CALL DSCRETN    MANAGERS   SOLE    SHARED   NONE
--------------------------     ----------------   --------- -------- -------- --- ---- ------- ----------- ------- -------- --------
                                                                                           
TARGET CORP                 COM                 87612E106      743    10849 SH       SOLE                    10188        0      661
TARGET CORP                 COM                 87612E106       29      430 SH       DEFINED                   430        0        0
TECHNE CORP                                     878377100       24      360 SH       DEFINED                   360        0        0
TETRA TECH INC NEW                              88162G103       51     1663 SH       SOLE                     1663        0        0
TEVA PHARMA INDS ADR                            881624209      136     3430 SH       SOLE                     3430        0        0
TEXAS INSTRS INC            COM                 882508104      401    11316 SH       SOLE                     9521        0     1795
TEXAS INSTRS INC            COM                 882508104        4      125 SH       DEFINED                   125        0        0
THERMO FISHER SCIENTIFIC
  INC                       COM                 883556102      255     3335 SH       SOLE                     3335        0        0
THERMO FISHER SCIENTIFIC
  INC                       COM                 883556102      115     1500 SH       DEFINED                  1500        0        0
3M COMPANY COM                                  88579Y101     1027     9657 SH       SOLE                     9524        0      133
3M COMPANY COM                                  88579Y101      107     1009 SH       DEFINED                  1009        0        0
TIME WARNER INC NEW COM NEW                     887317303       69     1200 SH       DEFINED                  1200        0        0
TOLL BROTHERS INC           COM                 889478103       47     1378 SH       DEFINED                  1378        0        0
TOMPKINS FINANCIAL CORP                         890110109    21058   498182 SH       SOLE                   478306        0    19876
TOMPKINS FINANCIAL CORP                         890110109     1847    43690 SH       DEFINED                 41445        0     2245
TORONTO DOMINION BK ONT     COM NEW ADR         891160509      157     1885 SH       SOLE                     1885        0        0
TRAVELERS COS INC COM                           89417E109      722     8571 SH       SOLE                     8521        0       50
TRAVELERS COS INC COM                           89417E109       15      180 SH       DEFINED                   180        0        0
TRIUMPH GROUP, INC                              896818101       55      700 SH       DEFINED                   700        0        0
TUPPERWARE BRANDS CORP      COM                 899896104      141     1720 SH       SOLE                     1720        0        0
US BANCORP DEL              COM NEW             902973304      372    10955 SH       SOLE                    10955        0        0
US BANCORP DEL              COM NEW             902973304       48     1420 SH       DEFINED                  1420        0        0
UTLIMATE SOFTWARE GROUP                         90385D107       47      455 SH       DEFINED                   455        0        0
UNILEVER N V                N Y SHS NEW         904784709      105     2550 SH       SOLE                     2550        0        0
UNION PAC CORP              COM                 907818108       28      200 SH       SOLE                      200        0        0
UNITED NATURAL FOODS                            911163103       15      310 SH       DEFINED                   310        0        0
UNITED PARCEL SERVICE INC   CL B                911312106      397     4618 SH       SOLE                     4543        0       75
UNITED PARCEL SERVICE INC   CL B                911312106       67      785 SH       DEFINED                   785        0        0
UTD ST COMMODITY INDX - ETF                     911717106        8      140 SH       SOLE                      140        0        0
UNITED STS NAT GAS FD LP                        912318201       58     2668 SH       SOLE                     2668        0        0
UNITED TECHNOLOGIES CORP    COM                 913017109      889     9516 SH       SOLE                     8636        0      880
UNITED TECHNOLOGIES CORP    COM                 913017109       14      150 SH       DEFINED                   150        0        0
UNITEDHEALTH GROUP INC                          91324P102      225     3940 SH       SOLE                     3940        0        0





                                                                     FORM 13F INFORMATION TABLE
                                                            VALUE    SHARES/  SH/ PUT/ INVSTMT    OTHER        VOTING AUTHORITY
    NAME OF ISSUER             TITLE OF CLASS     CUSIP     X$1000)  PRN AMT  PRN CALL DSCRETN    MANAGERS   SOLE    SHARED   NONE
--------------------------     ----------------   --------- -------- -------- --- ---- ------- ----------- ------- -------- --------
                                                                                           
VANGUARD BD IND INT ETF                         921937819       77      874 SH       SOLE                      874        0        0
VANG TAX MNG INTL FD ETF                        921943858    25012   686590 SH       SOLE                   679405      195     6990
VANG TAX MNG INTL FD ETF                        921943858      140     3841 SH       DEFINED                  3841        0        0
VANGUARD INTL EQUITY        INDEX - ETF         922042858      322     7500 SH       SOLE                     7500        0        0
VECTREN CORP COM                                92240G101       41     1170 SH       SOLE                        0        0     1170
VAN GUARD INDEX TR                              922908413       36      498 SH       SOLE                      498        0        0
VANGUARD INDEX REIT- ETF                        922908553     1880    26656 SH       SOLE                    24441        0     2215
VANGUARD INDEX REIT- ETF                        922908553       31      445 SH       DEFINED                   445        0        0
VANGARD INDEX VALUE ETF                         922908744     5136    78389 SH       SOLE                    77902       45      442
VANGARD INDEX VALUE ETF                         922908744       16      241 SH       DEFINED                   241        0        0
VERIZON COMMUNICATIONS      COM                 92343V104     2856    58115 SH       SOLE                    53815        0     4300
VERIZON COMMUNICATIONS      COM                 92343V104       73     1478 SH       DEFINED                  1478        0        0
VERINT SYSTEMS INC                              92343X100       20      550 SH       DEFINED                   550        0        0
VISA INC                    COM CL A            92826C839      127      745 SH       SOLE                      745        0        0
VISA INC                    COM CL A            92826C839       83      488 SH       DEFINED                   488        0        0
VODAFONE GROUP PLC NEW                          92857W209      163     5757 SH       SOLE                     5757        0        0
WGL HLDGS INC                                   92924F106       19      432 SH       SOLE                      432        0        0
W P CAREY INC                                   92936U109       27      405 SH       SOLE                      405        0        0
WALMART STORES INC          COM                 931142103      757    10121 SH       SOLE                    10060        0       61
WALMART STORES INC          COM                 931142103       49      650 SH       DEFINED                   650        0        0
WALGREEN CO                 COM                 931422109     2025    42477 SH       SOLE                    39975        0     2502
WALGREEN CO                 COM                 931422109       15      322 SH       DEFINED                   322        0        0
WATTS WATER TECHNOLOGIES                        942749102        5      100 SH       SOLE                      100        0        0
WELLS FARGO & CO NEW        COM                 949746101     1581    42749 SH       SOLE                    39159        0     3590
WELLS FARGO & CO NEW        COM                 949746101       59     1600 SH       DEFINED                  1600        0        0
WHOLE FOODS MARKET INC                          966837106       74      855 SH       DEFINED                   855        0        0
WILLIAMS-SONOMA INC                             969904101       43      830 SH       DEFINED                   830        0        0
WISDOMTREE DEVL EMG MKT ETF                     97717W133       21     1000 SH       SOLE                     1000        0        0
WISDOMTREE EMGERGING MKTS   SMALL CAP ETF       97717W281    11695   226694 SH       SOLE                   223785       61     2848
WISDOMTREE EMGERGING MKTS   SMALL CAP ETF       97717W281       63     1226 SH       DEFINED                  1226        0        0
WISDOM TREE EMG MKTS EQ ETF                     97717W315    14954   271612 SH       SOLE                   267996       71     3545
WISDOM TREE EMG MKTS EQ ETF                     97717W315       91     1653 SH       DEFINED                  1653        0        0
WISDOMTREE TR DIV EX        FINLS ETF           97717W406       15      240 SH       SOLE                      240        0        0





                                                                     FORM 13F INFORMATION TABLE
                                                            VALUE    SHARES/  SH/ PUT/ INVSTMT    OTHER        VOTING AUTHORITY
    NAME OF ISSUER             TITLE OF CLASS     CUSIP     X$1000)  PRN AMT  PRN CALL DSCRETN    MANAGERS   SOLE    SHARED   NONE
--------------------------     ----------------   --------- -------- -------- --- ---- ------- ----------- ------- -------- --------
                                                                                           
WISDOMTREE TR                                   97717W422       43     2417 SH       SOLE                     2417        0        0
WISDOMTREE TR EMERG MKT ETF                     97717X867      264     5030 SH       SOLE                     5030        0        0
XEROX CORP                  COM                 984121103       13     1556 SH       SOLE                     1556        0        0
XYLEM INC                                       98419M100       66     2400 SH       SOLE                     2400        0        0
ZIMMER HLDGS INC            COM                 98956P102       67      890 SH       SOLE                      890        0        0
ZIONS BANCORPORATION        COM                 989701107        3      115 SH       SOLE                      115        0        0

 GRAND TOTALS                                               322574  6589080                                6277076     1004   311000