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

                                   FORM 13F

                             FORM 13F COVER PAGE


Report for the Calendar Year or Quarter Ended     06/30/2006
                                              -----------------

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

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

Institutional Investment Manager Filing this Report:

Name:    PEAPACK GLADSTONE FINANCIAL CORPORATION
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Address: 158 Route 206 North
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         Gladstone, NJ 07934
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Form 13F File Number:  28-
                          -------------


The Institutional Investment Manager filing this report and the person by whom
it is signed 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:  Michael Pylypyshyn
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Title: Vice President
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Phone: 908 719 3306
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Signature, Place, and Date of Signing:

Michael Pylypyshyn                 Gladstone, NJ                 7/13/2006
-------------------------------    --------------------------    ------------
[Signature]                        [City, State]                 [Date]

Report Type (Check only one.):

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

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

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

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

    Form 13F File Number              Name

    28-
       ---------------------------    -----------------------------
    [Repeat as necessary.]




                              FORM 13F SUMMARY PAGE


Report Summary:

Number of Other Included Managers:                  0
                                           ----------
Form 13F Information Table Entry Total:    10,176,712
                                           ----------
Form 13F Information Table Value Total:       414,823
                                           ----------
                                           (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

      01          28 -

      02          28 -

      03          28 -



                                                     FORM 13F INFORMATION TABLE

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                                                                                                                      COLUMN 8
COLUMN 1                            COLUMN 2      COLUMN 3  COLUMN 4      COLUMN 5      COLUMN 6     COLUMN 7    VOTING AUTHORITY
------------------------------------------------------------------------------------------------------------------------------------
NAME OF                            TITLE OF                  VALUE    SHRS OR SH/ PUT/  INVESTMENT    OTHER
 ISSUER                             CLASS           CUSIP   [x$1000]  PRN AMT PRN CALL  DISCRETION   MANAGERS  SOLE   SHARED   NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                                 
DAIMLERCHRYSLER AG ORD                            D1668R123       53     1080 SH        DEFINED                  748   332        0
AXIS CAPITAL HOLDINGS LTD                         G0692U109      148     5200 SH        SOLE                    5200     0        0
INGERSOLL RAND COMPANY CLASS A COMMON             G4776G101      102     2400 SH        SOLE                    2400     0        0
INGERSOLL RAND COMPANY CLASS A COMMON             G4776G101      538    12594 SH        DEFINED                12460   134        0
NABORS INDUSTRIES LTD           COM               G6359F103     1507    44625 SH        SOLE                   44025     0      600
NABORS INDUSTRIES LTD           COM               G6359F103      430    12740 SH        DEFINED                11000  1740        0
NOBLE CORP                                        G65422100        8      115 SH        SOLE                     115     0        0
WP STEWART & CO                                   G84922106       44     2900 SH        SOLE                    2900     0        0
TRANSOCEAN INC                                    G90078109     1551    19315 SH        SOLE                   19315     0        0
TRANSOCEAN INC                                    G90078109      877    10932 SH        DEFINED                 7882  3050        0
ALCON INC                                         H01301102     1455    14765 SH        SOLE                   14365     0      400
ALCON INC                                         H01301102     1063    10795 SH        DEFINED                 9490   705      600
GILAT SATELLITE NETWORKS LTD                      M51474118        0      120 SH        SOLE                     120     0        0
ORTHOFIX INTERNATIONAL N.V.                       N6748L102        1       44 SH        SOLE                      44     0        0
DOUBLE HULL TANKERS INC                           Y21110104       26     2000 SH        SOLE                    2000     0        0
FLEXTRONICS INTERNATIONAL                         Y2573F102        8      800 SH        DEFINED                  800     0        0
TEEKAY LNG PARTNERS L P PARTNERSHIP UNITS         Y8564M105       60     2000 SH        DEFINED                 2000     0        0
TEEKAY SHIPPING CORP                              Y8564W103       41     1000 SH        DEFINED                 1000     0        0
ACCO BRANDS CORP                                  00081T108       28     1293 SH        SOLE                    1293     0        0
ACCO BRANDS CORP                                  00081T108       21      974 SH        DEFINED                  763   211        0
AFLAC INCORPORATED                                001055102       39      845 SH        SOLE                     845     0        0
AFLAC INCORPORATED                                001055102       11      250 SH        DEFINED                  250     0        0
AGCO CORPORATION                                  001084102       26     1000 SH        DEFINED                 1000     0        0
RESOURCES INC                   COM               001204106        6      174 SH        DEFINED                  174     0        0
AES CORPORATION                                   00130H105       15      833 SH        SOLE                     833     0        0
AES CORPORATION                                   00130H105       35     1905 SH        DEFINED                 1905     0        0
AT&T INC                                          00206R102     1039    37273 SH        SOLE                   36831   442        0
AT&T INC                                          00206R102     1135    40725 SH        DEFINED                36470   255     4000
AVI BIOPHARMA INC                                 002346104      105    28000 SH        DEFINED                28000     0        0
AASTROM BIOSCIENCES                               00253U107        4     3500 SH        DEFINED                 3500     0        0
ABBOTT LABS                     COM               002824100      440    10096 SH        SOLE                   10096     0        0
ABBOTT LABS                     COM               002824100      554    12721 SH        DEFINED                11521  1200        0
ABBEY NATIONAL PLC              7.375% PFD        002920700       47     1800 SH        SOLE                    1800     0        0
ADA-ES INC                                        005208103        6      400 SH        SOLE                     400     0        0
ADAMS EXPRESS COMPANY                             006212104       13     1085 SH        DEFINED                 1085     0        0
ADESA INC                                         00686U104        8      400 SH        DEFINED                  400     0        0
ADOBE SYSTEMS INCORPORATED                        00724F101     2966    97705 SH        SOLE                   97005     0      700
ADOBE SYSTEMS INCORPORATED                        00724F101     1498    49355 SH        DEFINED                39430  8025     1900
ADVENT CLAYMORE CONV SECS & INCOME FUND           00764C109       16      675 SH        SOLE                     675     0        0
ADVANCED MICRO DEVICES INC                        007903107        1       70 SH        SOLE                      70     0        0
ADVANCED MICRO DEVICES INC                        007903107        4      185 SH        DEFINED                    0   185        0
AGERE SYS INC COMMON                              00845V308        0       40 SH        DEFINED                   40     0        0
AGILENT TECHNOLOGIES                              00846U101       16      538 SH        DEFINED                  157   381        0
AIM REAL ESTATE INCOME FUND                       00888R107       54     3500 SH        SOLE                    3500     0        0
AIR PRODUCTS & CHEMICALS INC                      009158106     2091    32713 SH        SOLE                   31688     0     1025
AIR PRODUCTS & CHEMICALS INC                      009158106      943    14765 SH        DEFINED                12740  2025        0
AIRTRAN HOLDINGS INC            COM               00949P108        1      100 SH        DEFINED                  100     0        0
AKZO NOBEL NV ADR                                 010199305       16      300 SH        SOLE                     300     0        0
ALBERTO CULVER CO COM                             013068101       64     1325 SH        SOLE                    1325     0        0
ALBERTO CULVER CO COM                             013068101       43      900 SH        DEFINED                  900     0        0
ALCOA INC                       COM               013817101        9      285 SH        SOLE                     285     0        0
ALCOA INC                       COM               013817101        1       37 SH        DEFINED                    0    37        0
ALLERGAN INC                    COM               018490102       50      467 SH        DEFINED                  200   267        0





                                                     FORM 13F INFORMATION TABLE

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                                                                                                                      COLUMN 8
COLUMN 1                            COLUMN 2      COLUMN 3  COLUMN 4      COLUMN 5      COLUMN 6     COLUMN 7    VOTING AUTHORITY
------------------------------------------------------------------------------------------------------------------------------------
NAME OF                            TITLE OF                  VALUE    SHRS OR SH/ PUT/  INVESTMENT    OTHER
 ISSUER                             CLASS           CUSIP   [x$1000]  PRN AMT PRN CALL  DISCRETION   MANAGERS  SOLE   SHARED   NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                                 
ALLETE INC COM NEW                                018522300      6      133    SH        DEFINED                133      0       0
ALLIANCE HOLDINGS                                 01861G100     21     1000    SH        SOLE                  1000      0       0
ALLIANCE NATIONAL MUNICIPAL
  INCOME FUND                                     01864U106     15     1000              SOLE                  1000      0       0
ALLIANCE RESOURCE PARTNERS L P                    01877R108     72     2000    SH        DEFINED               2000      0       0
ALLIANT ENERGY CORP                COM            018802108     16      480    SH        SOLE                   480      0       0
ALLIANT ENERGY CORP                COM            018802108     73     2132    SH        DEFINED               2132      0       0
ALLIANCEBERNSTEIN HLDG LTD
  PARTNERSHIP INTERESTS                           01881G106      9      150    SH        SOLE                   150      0       0
ALLIANCEBERNSTEIN HLDG LTD
  PARTNERSHIP INTERESTS                           01881G106     13      225    SH        DEFINED                225      0       0
ALLIED CAPITAL CORP                NEW            01903Q108     57     2000    SH        SOLE                  2000      0       0
ALLSTATE CORP                      COM            020002101    140     2560    SH        SOLE                  2560      0       0
ALLSTATE CORP                      COM            020002101     64     1184    SH        DEFINED               1184      0       0
ALLTELL CORPORATION                               020039103    355     5568    SH        SOLE                  5568      0       0
ALLTELL CORPORATION                               020039103    195     3058    SH        DEFINED               2058   1000       0
ALTRIA GROUP INC                                  02209S103     29      405    SH        SOLE                   405      0       0
ALTRIA GROUP INC                                  02209S103    663     9041    SH        DEFINED               7900    641     500
AMBAC FINANCIAL GROUP INC                         023139108    137     1700    SH        DEFINED               1700      0       0
AMEREN CORP                        COM            023608102    131     2600    SH        DEFINED               1600   1000       0
AMERICA MOVIL ADR                                 02364W105     42     1290    SH        DEFINED               1200     90       0
AMERICAN ELEC PWR INC              COM            025537101     88     2570    SH        SOLE                  2570      0       0
AMERICAN ELEC PWR INC              COM            025537101    113     3326    SH        DEFINED               3326      0       0
AMERICAN EXPRESS CO                COM            025816109     77     1460    SH        SOLE                  1460      0       0
AMERICAN EXPRESS CO                COM            025816109    329     6200    SH        DEFINED               6200      0       0
AMERICAN INTERNATIONAL GROUP                      026874107   2769    46909    SH        SOLE                 46484      0     425
AMERICAN INTERNATIONAL GROUP                      026874107   2078    35211    SH        DEFINED              28319   6192     700
AMERICAN STANDARD COMPANIES INC                   029712106     60     1400    SH        SOLE                  1400      0       0
AMERICAN TOWER CORP CLASS A                       029912201     10      330    SH        DEFINED                330      0       0
AMERISOURCEBERGEN CORP                            03073E105      3       80    SH        SOLE                    80      0       0
AMERIPRISE FINANCIAL INC                          03076C106      7      172    SH        SOLE                   172      0       0
AMERIPRISE FINANCIAL INC                          03076C106     31      700    SH        DEFINED                700      0       0
AMETEK INC (NEW)                                  031100100     26      560    SH        DEFINED                560      0       0
AMGEN INC                                         031162100   2408    36933    SH        SOLE                 36283    150     500
AMGEN INC                                         031162100    877    13450    SH        DEFINED              11170   2280       0
AMSOUTH BANCORPORATION                            032165102     44     1687    SH        DEFINED               1687      0       0
ANADARKO PETROLEUM CORP            COM            032511107     47     1002    SH        SOLE                  1002      0       0
ANADARKO PETROLEUM CORP            COM            032511107    872    18308    SH        DEFINED              16508      0    1800
ANGLO AMERICAN PLC ADR                            03485P102      8      400    SH        SOLE                   400      0       0
ANGLOGOLD LIMITED ADR'S            PV R0.50       035128206     14      300    SH        DEFINED                300      0       0
ANHEUSER BUSCH COS INC             COM            035229103    235     5167    SH        DEFINED               4817      0     350
APACHE CORPORATION                                037411105    109     1600    SH        SOLE                  1600      0       0
APPLE COMPUTER INC                                037833100      4       75    SH        SOLE                    75      0       0
APPLE COMPUTER INC                                037833100     31      545    SH        DEFINED                200    345       0
APPLEBEE'S INTL INC                               037899101     47     2475    SH        SOLE                  2475      0       0
APPLEBEE'S INTL INC                               037899101    170     8882    SH        DEFINED               6212   2670       0
APPLIED MATERIALS INC                             038222105   1137    69925    SH        SOLE                 69925      0       0
APPLIED MATERIALS INC                             038222105    314    19300    SH        DEFINED              14750   4550       0
AQUA AMERICA INC                                  03836W103   1072    47091    SH        SOLE                 46425    666       0
AQUA AMERICA INC                                  03836W103    839    36843    SH        DEFINED              30888   5156     799
ARAMARK CORP  CL B                                038521100     76     2300    SH        SOLE                  2300      0       0
ARCHER-DANIELS-MIDLAND COMPANY                    039483102      8      200    SH        SOLE                   200      0       0
ARGON ST INC COM                                  040149106      7      300    SH        DEFINED                300      0       0
ASHLAND INC NEW                                   044209104     31      466    SH        DEFINED                466      0       0
ASSOCIATED BANC CORP                              045487105     25      804    SH        SOLE                   804      0       0
ASTRAZENECA PLC SPONSORED ADR                     046353108     68     1148    SH        SOLE                  1148      0       0
ATLAS PIPELINE LTD PARTNERSHIP                    049392103      8      200    SH        DEFINED                200      0       0
ATMOS ENERGY                                      049560105     83     3000    SH        DEFINED               3000      0       0
AUTHENTIDATE HOLDING CORP                         052666104      2     1000    SH        SOLE                  1000      0       0
AUTOMATIC DATA PROCESSING                         053015103   3166    69837    SH        SOLE                 69287      0     550
AUTOMATIC DATA PROCESSING                         053015103   1899    41905    SH        DEFINED              37055   4450     400
AVATAR HOLDINGS INC                               053494100     42      750    SH        SOLE                   750      0       0





                                                     FORM 13F INFORMATION TABLE

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                                                                                                                      COLUMN 8
COLUMN 1                               COLUMN 2   COLUMN 3  COLUMN 4      COLUMN 5      COLUMN 6     COLUMN 7    VOTING AUTHORITY
------------------------------------------------------------------------------------------------------------------------------------
NAME OF                               TITLE OF               VALUE    SHRS OR SH/ PUT/  INVESTMENT    OTHER
 ISSUER                                CLASS        CUSIP   [x$1000]  PRN AMT PRN CALL  DISCRETION   MANAGERS  SOLE   SHARED   NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                                 
AVAYA INC                              COM USD .01  053499109     2      179  SH        SOLE                   179        0       0
AVAYA INC                              COM USD .01  053499109     0       46  SH        DEFINED                 46        0       0
AVERY DENNISON CORP                                 053611109    20      350  SH        DEFINED                350        0       0
AXA ADR                                             054536107     1       34  SH        SOLE                     34       0       0
AXA ADR                                             054536107     9      300  SH        DEFINED                   300     0       0
BB&T CORP                                           054937107    19      472  SH        SOLE                      472     0       0
BCE INC                                COM          05534B109     2      100  SH        SOLE                      100     0       0
BJ SERVICES CO                                      055482103  2187    58715  SH        SOLE                    58215   500       0
BJ SERVICES CO                                      055482103  1104    29640  SH        DEFINED                 26415  2825     400
BOC GROUP PLC ADR                                   055617609    29      500  SH        DEFINED                   500     0       0
BP PLC                                              055622104  1055    15160  SH        SOLE                    15060     0     100
BP PLC                                              055622104  2248    32295  SH        DEFINED                 30445  1850       0
BAKER HUGHES INCORPORATED              COMMON       057224107     3       45  SH        SOLE                       45     0       0
BALLARD POWER SYSTEMS INC                           05858H104     2      400  SH        DEFINED                   400     0       0
BALLY TECHNOLOGIES INC                              05874B107    24     1500  SH        SOLE                     1500     0       0
BANK AMERICA CORP                      COM          060505104  6257   130115  SH        SOLE                   128715   300    1100
BANK AMERICA CORP                      COM          060505104  5268   109555  SH        DEFINED                 99763  9317     475
BANK OF NEW YORK INC                                064057102    22      702  SH        SOLE                      702     0       0
BANK OF NEW YORK INC                                064057102    34     1068  SH        DEFINED                  1068     0       0
BK NOVA SCOTIA LA BANQUE
  DE NOUVELLE ECOSSE                                064149107     8      214  SH        SOLE                      214     0       0
BARNES & NOBLE INC                                  067774109    29      800  SH        DEFINED                     0     0     800
BARRICK GOLD CORPORATION                            067901108    28      965  SH        DEFINED                     0   965       0
BARR PHARMACEUTICAL INC                             068306109    61     1300  SH        DEFINED                     0     0    1300
BAUSCH & LOMB INC                      COM          071707103    49     1000  SH        SOLE                     1000     0       0
BAXTER INTERNATIONAL                                071813109    27      740  SH        SOLE                      740     0       0
BAXTER INTERNATIONAL                                071813109    36     1000  SH        DEFINED                  1000     0       0
BEAR STEARNS CO                                     073902108    14      100  SH        SOLE                      100     0       0
BEARINGPOINT INC                                    074002106    31     3800  SH        SOLE                     3800     0       0
BECTON DICKINSON & COMPANY                          075887109     1       30  SH        SOLE                       30     0       0
BECTON DICKINSON & COMPANY                          075887109    82     1350  SH        DEFINED                  1200   150       0
BED BATH & BEYOND                                   075896100    25      754  SH        DEFINED                   754     0       0
BELLSOUTH CORP                         COM          079860102   275     7622  SH        SOLE                     7622     0       0
BELLSOUTH CORP                         COM          079860102   488    13490  SH        DEFINED                 12290   800     400
BEMA GOLD CORPORATION                               08135F107    50    10000  SH        DEFINED                     0 10000       0
BERKSHIRE HATHAWAY CLASS 'B'           COMMON       084670207   334      110  SH        SOLE                      110     0       0
BERKSHIRE HATHAWAY CLASS 'B'           COMMON       084670207    30       10  SH        DEFINED                    10     0       0
BERRY PETROLEUM                                     085789105    13      400  SH        DEFINED                   400     0       0
BEST BUY COMPANY INC                                086516101   118     2156  SH        SOLE                     2156     0       0
BEST BUY COMPANY INC                                086516101   311     5678  SH        DEFINED                  5303   375       0
BHP BILLINTON LTD SPONS ADR                         088606108    10      250  SH        SOLE                      250     0       0
BHP BILLINTON LTD SPONS ADR                         088606108     8      200  SH        DEFINED                   200     0       0
BIOGEN IDEC INC                                     09062X103    10      225  SH        SOLE                      225     0       0
BIOVAIL CORPORATION                                 09067J109    28     1200  SH        DEFINED                  1200     0       0
BLACK & DECKER CORP                    COM          091797100    33      400  SH        DEFINED                   400     0       0
BLACKROCK MUNI TARGET TERM TR INC                   09247M105    14     1500            SOLE                     1500     0       0
BLACKROCK INSD MUNICIPAL TERM TR INC                092474105     9     1000            SOLE                     1000     0       0
BLACKROCK NJ MUNICIPAL INCOME TRUST                 09248J101    29     1750            SOLE                     1750     0       0
BLACKROCK NEW JERSEY MUNICIPAL BOND TR              09249A109    38     2200            SOLE                     2200     0       0
BLACKROCK CORE BOND TRUST                           09249E101    28     2400  SH        SOLE                     2400     0       0
BLACKROCK LIMITED DURATION INCOME FUND              09249W101    11      625  SH        SOLE                      625     0       0
BLACKROCK MUN 2020 TERM TR COM SHS                  09249X109    13      900            SOLE                      900     0       0
BLACKROCK DIVIDEND ACHVRS TR                        09250N107     5      400  SH        DEFINED                   400     0       0
BLOCK H & R INC                        COM          093671105    38     1600  SH        DEFINED                  1600     0       0
BOEING CO                              COM          097023105    50      615  SH        SOLE                      615     0       0
BOEING CO                              COM          097023105    80      985  SH        DEFINED                   400   585       0
BOSTON PROPERTIES INC.                              101121101    22      250  SH        SOLE                      250     0       0
BOSTON SCIENTIFIC CORP.                             101137107   101     6000  SH        SOLE                     6000     0       0
BOSTON SCIENTIFIC CORP.                             101137107    13      800  SH        DEFINED                   800     0       0
BRIGGS & STRATTON CORPORATION                       109043109     7      238  SH        SOLE                      238     0       0




                           FORM 13F INFORMATION TABLE

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                                                                                                                        COLUMN 8
COLUMN 1                            COLUMN 2        COLUMN 3   COLUMN 4   COLUMN 5        COLUMN 6     COLUMN 7    VOTING AUTHORITY
------------------------------------------------------------------------------------------------------------------------------------
NAME OF                            TITLE OF                     VALUE   SHRS OR SH/ PUT/  INVESTMENT   OTHER
 ISSUER                             CLASS             CUSIP    [x$1000] PRN AMT PRN CALL  DISCRETION  MANAGERS  SOLE   SHARED  NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                                   
THE BRINK'S COMPANY                                 109696104       73     1300  SH        SOLE                  1300       0      0
BRISTOL-MYERS SQUIBB                                110122108      526    20350  SH        SOLE                 20350       0      0
BRISTOL-MYERS SQUIBB                                110122108     1645    63626  SH        DEFINED              62426    1200      0
BROWN FORMAN
     DISTILLERS CORP              CLASS 'A' VOTING  115637100       28      400  SH        DEFINED                400       0      0
BUCKEYE PIPELINE PARTNERS LP                        118230101      500    11882  SH        SOLE                 11882       0      0
BUCKEYE PIPELINE PARTNERS LP                        118230101      397     9450  SH        DEFINED               8950     500      0
BURGER KING HOLDINGS INC                            121208201       15     1000  SH        SOLE                  1000       0      0
BURLINGTON NORTHERN
     SANTA FE CORP                                  12189T104       59      750  SH        SOLE                   750       0      0
BURLINGTON NORTHERN
     SANTA FE CORP                                  12189T104      200     2529  SH        DEFINED               2529       0      0
CBS CORP NEW CLASS A                                124857103        2       90  SH        SOLE                    90       0      0
CBS CORP NEW                                        124857202       41     1537  SH        SOLE                  1537       0      0
CBS CORP NEW                                        124857202        5      201  SH        DEFINED                162      39      0
CRACKER BARREL GROUP INC                            12489V106       58     1725  SH        SOLE                  1725       0      0
CIT GROUP INC NEW                                   125581108       57     1100  SH        SOLE                  1100       0      0
CNET NETWORKS INC.                                  12613R104        0       40  SH        DEFINED                  0      40      0
CSX CORP                          COM               126408103       70     1000  SH        DEFINED               1000       0      0
CVS CORP                          COM               126650100       42     1400  SH        SOLE                  1400       0      0
CVS CORP                          COM               126650100      337    10980  SH        DEFINED              10480     500      0
CA  INC                                             12673P105        1       50  SH        DEFINED                  0      50      0
CABELAS INC                                         126804301       38     2000  SH        SOLE                  2000       0      0
CABOT CORPORATION                                   127055101      138     4000  SH        SOLE                  4000       0      0
CACI INTL INC CLASS A                               127190304      396     6800  SH        SOLE                  6800       0      0
CACI INTL INC CLASS A                               127190304       58     1000  SH        DEFINED               1000       0      0
CALAMOS CONVERTABLE &
  HIGH INCOME FUND                                  12811P108       14      882  SH        SOLE                   882       0      0
CALAMOS CONVERTBLE OPPORTUNITIES
  & INCOME FUND                                     128117108       14      765  SH        SOLE                   765       0      0
CALIPER LIFE SCIENCES INC                           130872104       10     2200  SH        SOLE                  2200       0      0
CAMBREX CORP                                        132011107       45     2200  SH        SOLE                  2200       0      0
CAMPBELL SOUP CO                  COM               134429109        3      100  SH        SOLE                   100       0      0
CAMPBELL SOUP CO                  COM               134429109       37     1000  SH        DEFINED               1000       0      0
CANADIAN NATIONAL RY CO                             136375102        8      200  SH        SOLE                   200       0      0
CANADIAN NATURAL RESOURCES LTD                      136385101        5      100  SH        SOLE                   100       0      0
CANADIAN NATURAL RESOURCES LTD                      136385101       22      400  SH        DEFINED                400       0      0
CANETIC RES TR                                      137513107        6      312  SH        DEFINED                312       0      0
CANON INC ADR                                       138006309        7      102  SH        SOLE                   102       0      0
CAPITAL ONE FINANCIAL                               14040H105     1331    15582  SH        SOLE                 14882       0    700
CAPITAL ONE FINANCIAL                               14040H105      631     7395  SH        DEFINED               6820     250    325
CARDINAL HEALTH                                     14149Y108        2       35  SH        SOLE                    35       0      0
CARDINAL HEALTH                                     14149Y108       12      200  SH        DEFINED                200       0      0
CAREER EDUCATION CORP                               141665109       17      600  SH        DEFINED                600       0      0
CARPENTER TECHNOLOGY                                144285103       34      300  SH        SOLE                   300       0      0
CATERPILLAR INC                                     149123101      153     2058  SH        SOLE                  2058       0      0
CATERPILLAR INC                                     149123101      598     8034  SH        DEFINED               7184     850      0
CELGENE CORPORATION                                 151020104       61     1300  SH        SOLE                  1300       0      0
CELGENE CORPORATION                                 151020104       56     1200  SH        DEFINED               1200       0      0
CENDANT CORPORATION                                 151313103       81     5000  SH        SOLE                  5000       0      0
CENDANT CORPORATION                                 151313103        3      200  SH        DEFINED                200       0      0
CENTER BANCORP INC                COM               151408101      110     7599  SH        SOLE                  1000    6599      0
CENTER BANCORP INC                COM               151408101       98     6772  SH        DEFINED               6772       0      0
CENTERPOINT ENERGY INC                              15189T107       47     3800  SH        SOLE                  3800       0      0
CENTERPOINT ENERGY INC                              15189T107       13     1100  SH        DEFINED               1100       0      0
CENTURY BANCORP INC CL A                            156432106       26     1100  SH        SOLE                  1100       0      0
CENTURYTEL INC                                      156700106      103     2800  SH        SOLE                  2800       0      0
CERADYNE INC                                        156710105        8      162  SH        SOLE                   162       0      0
CHESAPEAKE ENERGY CORP                              165167107       18      600  SH        SOLE                   600       0      0
CHESAPEAKE ENERGY CORP                              165167107       30     1000  SH        DEFINED               1000       0      0
CHEVRON CORPORATION                                 166764100     4457    71825  SH        SOLE                 70625       0   1200
CHEVRON CORPORATION                                 166764100     3577    57644  SH        DEFINED              45916    7528   4200
CHICAGO BRIDGE & IRON N.V.                          167250109      210     8715  SH        SOLE                  8715       0      0
CHICAGO BRIDGE & IRON N.V.                          167250109      200     8300  SH        DEFINED               8300       0      0






                           FORM 13F INFORMATION TABLE

------------------------------------------------------------------------------------------------------------------------------------
                                                                                                                         COLUMN 8
COLUMN 1                            COLUMN 2        COLUMN 3   COLUMN 4   COLUMN 5         COLUMN 6     COLUMN 7    VOTING AUTHORITY
------------------------------------------------------------------------------------------------------------------------------------
NAME OF                            TITLE OF                     VALUE   SHRS OR SH/ PUT/  INVESTMENT    OTHER
 ISSUER                             CLASS             CUSIP    [x$1000] PRN AMT PRN CALL  DISCRETION   MANAGERS   SOLE SHARED  NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
CHINA MOBILE LTD                                    16941M109      131     4600  SH        DEFINED                1800      0   2800
CHIPOTLE MEXICAN GRILL INC                          169656105       30      500  SH        SOLE                    500      0      0
CHOICEPOINT INC                   COM               170388102       58     1400  SH        DEFINED                   0      0   1400
THE CHUBB CORPORATION                               171232101     3125    62626  SH        SOLE                  62626      0      0
THE CHUBB CORPORATION                               171232101     2185    43805  SH        DEFINED               37305   6500      0
CHURCH & DWIGHT INC               COM               171340102       25      700  SH        DEFINED                   0    700      0
CIMAREX ENERGY CO                                   171798101       86     2000  SH        DEFINED                2000      0      0
CISCO SYS INC                                       17275R102     2606   133555  SH        SOLE                 132455      0   1100
CISCO SYS INC                                       17275R102     1067    54662  SH        DEFINED               49512   4950    200
CINTAS CORP                                         172908105     1212    30500  SH        SOLE                  30500      0      0
CINTAS CORP                                         172908105      441    11100  SH        DEFINED                9800   1300      0
CITIGROUP INC                                       172967101     3429    71071  SH        SOLE                  69321      0   1750
CITIGROUP INC                                       172967101     4088    84729  SH        DEFINED               77357   7372      0
CITY NATIONAL CORP                                  178566105        6      100  SH        SOLE                    100      0      0
CLEAR CHANNEL COMMUNICATIONS                        184502102        0       25  SH        SOLE                     25      0      0
CLEAR CHANNEL COMMUNICATIONS                        184502102        3      100  SH        DEFINED                 100      0      0
CLOROX CO DEL                     COM               189054109       73     1200  SH        SOLE                   1200      0      0
CLOUGH GLOBAL EQUITY FUND                           18914C100       20      888  SH        SOLE                    888      0      0
COACH INC.                                          189754104       20      700  SH        DEFINED                 700      0      0
COCA COLA CO                      COM               191216100       83     1942  SH        SOLE                   1942      0      0
COCA COLA CO                      COM               191216100      321     7467  SH        DEFINED                5237    155   2075
COGNIZANT TECHNOLOGY CO                             192446102       56      846  SH        DEFINED                 846      0      0
COLEY PHARMACEUTICAL GROUP INC                      19388P106        6      550  SH        SOLE                    550      0      0
COLGATE PALMOLIVE CO              COM               194162103      658    10990  SH        SOLE                  10890      0    100
COLGATE PALMOLIVE CO              COM               194162103      557     9305  SH        DEFINED                9122    183      0
COMCAST CORP NEW CLASS A                            20030N101       35     1077  SH        SOLE                   1077      0      0
COMCAST CORP NEW CLASS A                            20030N101      111     3417  SH        DEFINED                3385     32      0
COMCAST CORP NEW CLASS A SPL                        20030N200       39     1200  SH        SOLE                   1200      0      0
COMERICA INC. CO                                    200340107       19      375  SH        DEFINED                 375      0      0
COMMERCE BANCORP NJ                                 200519106       10      300  SH        SOLE                    300      0      0
CAMPANHIA VALE DO RIO DOCE        SPONSORED ADR     204412209       24     1000  SH        DEFINED                1000      0      0
COMPASS BANCSHARES INC COM                          20449H109       13      250  SH        SOLE                    250      0      0
COMPUWARE CORPORATION                               205638109        0       95  SH        SOLE                     95      0      0
CONAGRA FOODS INC                 COM               205887102       30     1400  SH        SOLE                   1400      0      0
CONAGRA FOODS INC                 COM               205887102       35     1600  SH        DEFINED                1600      0      0
CONOCOPHILLIPS CORP                                 20825C104      120     1844  SH        SOLE                   1844      0      0
CONOCOPHILLIPS CORP                                 20825C104     1279    19535  SH        DEFINED               19427    108      0
CONSOLIDATED EDISON               COM               209115104      224     5061  SH        SOLE                   5061      0      0
CONSOLIDATED EDISON               COM               209115104       39      884  SH        DEFINED                 884      0      0
CONSTELLATION BRANDS INC CL A                       21036P108      972    38895  SH        SOLE                  38695      0    200
CONSTELLATION BRANDS INC CL A                       21036P108     1183    47350  SH        DEFINED               45000    700   1650
CONSTELLATION ENERGY GROUP INC    COM               210371100       49      900  SH        DEFINED                 900      0      0
CONTINENTAL AIRLINES INC CL B                       210795308       59     2000  SH        SOLE                   2000      0      0
CORN PRODS INTL INC               COM               219023108       36     1200  SH        DEFINED                1200      0      0
CORNING INC                                         219350105       94     3900  SH        SOLE                   3900      0      0
CORNING INC                                         219350105       73     3035  SH        DEFINED                2150    885      0
CORRECTIONS CORP AMER NEW                           22025Y407        5      100  SH        DEFINED                 100      0      0
COSTCO WHOLESALE CORPORATION                        22160K105     4389    76842  SH        SOLE                  75822      0   1020
COSTCO WHOLESALE CORPORATION                        22160K105     2460    43070  SH        DEFINED               36545   5225   1300
COVAD COMMUNICATIONS                                222814204       40    20000  SH        DEFINED               20000      0      0
CRANE CO                                            224399105       20      500  SH        SOLE                    500      0      0
CUMMINS ENGINE INC                                  231021106      122     1000  SH        DEFINED                1000      0      0
CYTEC INDUSTRIES INC                                232820100       32      610  SH        SOLE                    610      0      0
DPL INC                           COM               233293109       17      636  SH        SOLE                    636      0      0
DTE ENERGY CO                     COM               233331107       72     1775  SH        SOLE                   1775      0      0
DTE ENERGY CO                     COM               233331107      154     3805  SH        DEFINED                3805      0      0
DWS GLOBAL COMODITIES
   STOCK FUND INC                 COM               23338Y100       49     3000  SH        SOLE                   3000      0      0
DARDEN RESTAURANTS                                  237194105       28      725  SH        SOLE                    725      0      0
DARDEN RESTAURANTS                                  237194105       39     1000  SH        DEFINED                1000      0      0






                           FORM 13F INFORMATION TABLE

------------------------------------------------------------------------------------------------------------------------------------
                                                                                                                      COLUMN 8
COLUMN 1                            COLUMN 2        COLUMN 3   COLUMN 4    COLUMN 5         COLUMN 6    COLUMN 7   VOTING AUTHORITY
------------------------------------------------------------------------------------------------------------------------------------
NAME OF                            TITLE OF                     VALUE   SHRS OR  SH/ PUT/  INVESTMENT    OTHER
 ISSUER                             CLASS             CUSIP    [x$1000] PRN AMT  PRN CALL  DISCRETION   MANAGERS  SOLE  SHARED  NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                                  
DATARAM CORP                                        238108203       35     7647  SH        SOLE                    7647      0     0
DEAN FOODS COMPANY                                  242370104       55     1500  SH        DEFINED                  500   1000     0
DECODE GENETICS INC                                 243586104        3      619  SH        DEFINED                  619      0     0
DEERE & COMPANY                                     244199105      164     1970  SH        SOLE                    1970      0     0
DEERE & COMPANY                                     244199105      907    10875  SH        DEFINED                10375      0   500
DEL MONTE FOODS CO                                  24522P103        3      300  SH        SOLE                     300      0     0
DEL MONTE FOODS CO                                  24522P103        0       66  SH        DEFINED                   66      0     0
DELL INC                                            24702R101      240     9846  SH        SOLE                    9846      0     0
DELL INC                                            24702R101      539    22050  SH        DEFINED                18725   2275  1050
DELTIC TIMBER CORP                                  247850100      169     3000  SH        DEFINED                 3000      0     0
DEVELOPERS DIVERSIFIED                              251591103        9      179  SH        DEFINED                  179      0     0
DEVON ENERGY CORPORATION NEW      COM               25179M103       29      481  SH        SOLE                     481      0     0
DIAMONDS TRUST SER I                                252787106       29      260  SH        SOLE                     260      0     0
DIAMONDS TRUST SER I                                252787106       11      100  SH        DEFINED                  100      0     0
DIEBOLD INC                                         253651103      178     4400  SH        DEFINED                 4400      0     0
DIRECTV GROUP INC                                   25459L106       22     1388  SH        SOLE                    1388      0     0
DIRECTV GROUP INC                                   25459L106        0       12  SH        DEFINED                    0     12     0
DISNEY WALT CO                    COM DISNEY        254687106     3237   107911  SH        SOLE                  106061      0  1850
DISNEY WALT CO                    COM DISNEY        254687106     2362    78748  SH        DEFINED                69655   9093     0
DOLLAR TREE STORES INC                              256747106       45     1700  SH        SOLE                    1700      0     0
DOLLAR TREE STORES INC                              256747106        5      200  SH        DEFINED                  200      0     0
DOMINION RES INC                                    25746U109      320     4283  SH        SOLE                    4283      0     0
DOMINION RES INC                                    25746U109      651     8711  SH        DEFINED                 6358   2353     0
DONALDSON INC                                       257651109       74     2200  SH        SOLE                    2200      0     0
DONALDSON INC                                       257651109      157     4650  SH        DEFINED                 4650      0     0
DOVER CORPORATION                                   260003108      195     3965  SH        SOLE                    3965      0     0
DOW CHEM CO                       COM               260543103      425    10900  SH        SOLE                   10900      0     0
DOW CHEM CO                       COM               260543103      491    12606  SH        DEFINED                10169    637  1800
DREMAN CLAYMORE DIVIDEND &
   INCOME FUND                                      26153R100      167     8700  SH        SOLE                    8700      0     0
DU PONT E I DE NEMOURS & CO       COM               263534109      266     6402  SH        SOLE                    5502    900     0
DU PONT E I DE NEMOURS & CO       COM               263534109      390     9392  SH        DEFINED                 9392      0     0
DUKE ENERGY HOLDING CORP                            26441C105      727    24784  SH        SOLE                   24784      0     0
DUKE ENERGY HOLDING CORP                            26441C105      654    22301  SH        DEFINED                19801   2000   500
DUKE REALTY CORP                                    264411505        7      200  SH        SOLE                     200      0     0
DUN & BRADSTREET CORP DEL         NEW COM           26483E100       41      600  SH        SOLE                     600      0     0
DYAX CORPORATION                                    26746E103        5     1800  SH        SOLE                    1800      0     0
E M C CORPORATION                                   268648102     1840   167765  SH        SOLE                  162365   2000  3400
E M C CORPORATION                                   268648102     1113   101485  SH        DEFINED                83410  18075     0
ENSCO INTERNATIONAL INC                             26874Q100       13      300  SH        DEFINED                  300      0     0
EOG RES INC                                         26875P101      247     3566  SH        DEFINED                 3566      0     0
EP MEDSYSTEMS INC                                   26881P103        1     1000  SH        DEFINED                 1000      0     0
EASTMAN CHEMICAL COMPANY                            277432100        7      139  SH        DEFINED                  139      0     0
EASTMAN KODAK CO                  COM               277461109       16      711  SH        DEFINED                  558    153     0
EASYLINK SERVICES CORP CLASS A                      27784T200        0      150  SH        DEFINED                  150      0     0
EATON VANCE TAX ADVANTAGED                          27828G107       16      700  SH        SOLE                     700      0     0
EATON VANCE TAX-ADVANTAGED
  GLOBAL DIV OPP FUND                               27828U106       18      700  SH        SOLE                     700      0     0
EBAY INC                                            278642103       16      575  SH        DEFINED                  150    425     0
EL PASO CORPORATION                                 28336L109       24     1600  SH        SOLE                    1600      0     0
EL PASO CORPORATION                                 28336L109       60     4000  SH        DEFINED                 4000      0     0
ELECTRONIC ARTS INC                                 285512109        4      100  SH        SOLE                     100      0     0
ELECTRONIC ARTS INC                                 285512109        5      133  SH        DEFINED                    0    133     0
ELECTRONIC DATA SYSTEMS CORP                        285661104        2      100  SH        DEFINED                    0    100     0
EMBARQ CORP                                         29078E105        0        2  SH        SOLE                       2      0     0
EMBARQ CORP                                         29078E105        3       79  SH        DEFINED                   79      0     0
EMERSON ELEC CO                   COM               291011104      337     4025  SH        SOLE                    4025      0     0
EMERSON ELEC CO                   COM               291011104      926    11058  SH        DEFINED                10558    500     0
ENBRIDGE ENERGY PARTNERS L P                        29250R106      186     4275  SH        SOLE                    4275      0     0
ENBRIDGE ENERGY PARTNERS L P                        29250R106      259     5950  SH        DEFINED                 5150    800     0
ENBRIDGE ENERGY MANAGEMENT LLC                      29250X103       10      246  SH        SOLE                     246      0     0






                           FORM 13F INFORMATION TABLE

------------------------------------------------------------------------------------------------------------------------------------
                                                                                                                        COLUMN 8
COLUMN 1                            COLUMN 2        COLUMN 3   COLUMN 4   COLUMN 5        COLUMN 6     COLUMN 7    VOTING AUTHORITY
------------------------------------------------------------------------------------------------------------------------------------
NAME OF                            TITLE OF                     VALUE   SHRS OR SH/ PUT/  INVESTMENT    OTHER
 ISSUER                             CLASS             CUSIP    [x$1000] PRN AMT PRN CALL  DISCRETION   MANAGERS  SOLE  SHARED  NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                                  
ENERGEN CORP                      COM               29265N108       92     2400  SH        DEFINED               2400       0      0
ENEL SPA ADS                                        29265W108        8      200  SH        DEFINED                200       0      0
ENERGY EAST CORP                  COM               29266M109      103     4310  SH        DEFINED               4310       0      0
ENERGIZER HOLDINGS INC                              29266R108       29      500  SH        SOLE                   500       0      0
ENERGY PARTNERS LTD                                 29270U105        3      200  SH        SOLE                   200       0      0
ENERPLUS RESOURCES FUND
  TRUST UNITS                                       29274D604      247     4400  SH        DEFINED                  0    4400      0
ENTERGY CORP NEW                  COM               29364G103       24      349  SH        SOLE                   349       0      0
ENTERGY CORP NEW                  COM               29364G103      227     3221  SH        DEFINED               3221       0      0
ENTERPRISE PRODUCTS PARTNERS LP                     293792107       82     3333  SH        SOLE                  3333       0      0
EQUIFAX, INC.                                       294429105       58     1700  SH        SOLE                  1700       0      0
EQUIFAX, INC.                                       294429105       22      650  SH        DEFINED                650       0      0
EQUITABLE RESOURCES                                 294549100       33     1000  SH        DEFINED               1000       0      0
EQUITY OFFICE PPTYS TR            COM               294741103        6      190  SH        SOLE                   190       0      0
EQUITY RESIDENTIAL SBI                              29476L107       55     1250  SH        SOLE                  1250       0      0
EQUITY RESIDENTIAL SBI                              29476L107        8      200  SH        DEFINED                200       0      0
EURO CURRENCY TRUST                                 29871P109       10       80  SH        DEFINED                  0      80      0
EVERGREEN SOLAR                                     30033R108       15     1200  SH        DEFINED                700     500      0
EXATECH INC                                         30064E109       13     1000  SH        DEFINED               1000       0      0
EXELON CORP                       COM               30161N101       51      900  SH        SOLE                   900       0      0
EXELON CORP                       COM               30161N101       15      264  SH        DEFINED                264       0      0
EXIDE TECHNOLOGIES WARRANTS                         302051123        0      241  SH        SOLE                   241       0      0
EXPRESS SCRIPTS A                                   302182100        2       30  SH        SOLE                    30       0      0
EXXON MOBIL CORP                  COM               30231G102     8252   134516  SH        SOLE                132266    1600    650
EXXON MOBIL CORP                  COM               30231G102    18398   299891  SH        DEFINED             229371    5886  64634
FPL GROUP INC                     COM               302571104      360     8700  SH        SOLE                  8700       0      0
FPL GROUP INC                     COM               302571104      372     9000  SH        DEFINED               9000       0      0
FEDERAL HOME LOAN MORTGAGE
     CORPORATION                  COMMON            313400301        5       90  SH        SOLE                    90       0      0
FEDERAL NATL MTG ASSN
     (D/B/A FANNIE MAE)           COM               313586109      375     7800  SH        SOLE                  7800       0      0
FEDERAL NATL MTG ASSN
     (D/B/A FANNIE MAE)           COM               313586109       86     1800  SH        DEFINED               1800       0      0
FEDERAL REALTY INVESTMENT TRUST                     313747206       29      423  SH        DEFINED                423       0      0
FEDERATED DEPARTMENT STORES INC                     31410H101       12      354  SH        DEFINED                354       0      0
FEDEX CORPORATION                                   31428X106        2       20  SH        SOLE                    20       0      0
FEDEX CORPORATION                                   31428X106       81      700  SH        DEFINED                700       0      0
FIDELITY NATIONAL INFORMATION
     SERVICES INC                 COM               31620M106       11      325  SH        DEFINED                325       0      0
FIFTH THIRD BANCORP               COM               316773100     1229    33275  SH        SOLE                 33275       0      0
FIFTH THIRD BANCORP               COM               316773100      551    14930  SH        DEFINED              11855    3075      0
FIRST ALBANY COS INC                                318465101        3      835  SH        SOLE                   835       0      0
FIRST DATA CORPORATION                              319963104      955    21208  SH        SOLE                 21208       0      0
FIRST DATA CORPORATION                              319963104        9      200  SH        DEFINED                200       0      0
FIRST TR VALUE LINE
     DIVIDEND FUND                                  33735A100       31     2100  SH        SOLE                  2100       0      0
FISERV INCORPORATED WISCONSON                       337738108       54     1203  SH        SOLE                  1203       0      0
FIRSTENERGY CORP                  COM               337932107        5      110  SH        SOLE                   110       0      0
FIRSTENERGY CORP                  COM               337932107       97     1800  SH        DEFINED               1800       0      0
FISHER SCIENTIFIC                                   338032204       21      300  SH        SOLE                   300       0      0
FLOWER FOODS INC                                    343498101      134     4687  SH        DEFINED               4687       0      0
FORD MOTOR COMPANY CAP TR II      CONV PRD          345395206       13      500  SH        SOLE                   500       0      0
FORDING CANADIAN COAL                               345425102       15      500  SH        SOLE                   500       0      0
FORDING CANADIAN COAL                               345425102       63     2000  SH        DEFINED               2000       0      0
FOREST LABORATORIES INC                             345838106        5      150  SH        DEFINED                150       0      0
FORTUNE BRANDS INC                COM               349631101     1977    27850  SH        SOLE                 27500     350      0
FORTUNE BRANDS INC                COM               349631101     1238    17448  SH        DEFINED              14233    2840    375
FRANKLIN RESOURCES INC                              354613101       26      300  SH        SOLE                   300       0      0
FRANKLIN TEMPLETON LTD
     DURATION INC TR                                35472T101       14     1180  SH        SOLE                  1180       0      0
FREESCALE SEMICONDUCTOR CLASS B                     35687M206        1       55  SH        SOLE                    55       0      0
FREESCALE SEMICONDUCTOR CLASS B                     35687M206        3      115  SH        DEFINED                 82      33      0
GALLAHER GROUP PLC SPONSORED ADR                    363595109       21      337  SH        DEFINED                337       0      0
GANNETT COMPANY INC                                 364730101        5      100  SH        DEFINED                100       0      0
GAP INC                                             364760108        2      150  SH        SOLE                   150       0      0
GENAERA CORPORATION                                 36867G100       19    36000  SH        DEFINED              36000       0      0






                           FORM 13F INFORMATION TABLE

------------------------------------------------------------------------------------------------------------------------------------
                                                                                                                         COLUMN 8
COLUMN 1                            COLUMN 2        COLUMN 3   COLUMN 4   COLUMN 5         COLUMN 6     COLUMN 7    VOTING AUTHORITY
------------------------------------------------------------------------------------------------------------------------------------
NAME OF                            TITLE OF                     VALUE   SHRS OR SH/ PUT/  INVESTMENT    OTHER
 ISSUER                             CLASS             CUSIP    [x$1000] PRN AMT PRN CALL  DISCRETION   MANAGERS  SOLE  SHARED  NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                                  
GENENTECH INC                                       368710406     2931    35835  SH        SOLE                 35835       0      0
GENENTECH INC                                       368710406     2087    25525  SH        DEFINED              21250    3225   1050
GENERAL DYNAMICS CORP                               369550108       45      700  SH        SOLE                   700       0      0
GENERAL ELEC CO                   COM               369604103    10780   327168  SH        SOLE                315718    9500   1950
GENERAL ELEC CO                   COM               369604103     9309   282544  SH        DEFINED             255984   24760   1800
GENERAL MTRS CORP                 COM               370442105       71     2400  SH        SOLE                  2400       0      0
GENERAL MTRS CORP                 COM               370442105       25      871  SH        DEFINED                401     470      0
GENVEC INC                                          37246C109        0      500  SH        DEFINED                500       0      0
GENWORTH FINANCIAL                                  37247D106        1       45  SH        SOLE                    45       0      0
GETTY REALTY CORP NEW                               374297109       22      800  SH        SOLE                   800       0      0
GILEAD SCIENCES INC                                 375558103       29      500  SH        SOLE                   500       0      0
GILEAD SCIENCES INC                                 375558103       11      200  SH        DEFINED                200       0      0
GLAMIS GOLD LTD                   COMMON            376775102       75     2000  SH        DEFINED                  0    2000      0
GLAXO SMITHKLINE PLC
     SPONSORED ADR                                  37733W105      387     6954  SH        SOLE                  6954       0      0
GLAXO SMITHKLINE PLC
     SPONSORED ADR                                  37733W105      240     4312  SH        DEFINED               4312       0      0
GLOBAL INDUSTRIES INC                               379336100       43     2600  SH        SOLE                  2600       0      0
GLOBAL SIGNAL INC                                   37944Q103       18      400  SH        SOLE                   400       0      0
GLOBAL PARTNERS LP                                  37946R109       20     1000  SH        SOLE                  1000       0      0
GOLDCORP INC                                        380956409       60     2000  SH        DEFINED                  0    2000      0
GOLDMAN SACHS GROUP                                 38141G104      871     5795  SH        SOLE                  5795       0      0
GOLDMAN SACHS GROUP                                 38141G104      496     3300  SH        DEFINED               3085     215      0
GOOGLE INC                                          38259P508       92      220  SH        DEFINED                125      95      0
GRAINGER W W INC                                    384802104        2       35  SH        SOLE                    35       0      0
GRANT PRIDECO INC                                   38821G101        0       20  SH        SOLE                    20       0      0
GREAT LAKES BANCORP INC NEW                         390914109        3      200  SH        DEFINED                200       0      0
GREAT PLAINS ENERGY INC                             391164100        4      150  SH        SOLE                   150       0      0
GREAT PLAINS ENERGY INC                             391164100        4      150  SH        DEFINED                  0     150      0
GROUPE CGI INC                                      39945C109        0      159  SH        SOLE                   159       0      0
HCC INS HLDGS                                       404132102      117     4000  SH        SOLE                  4000       0      0
HSBC HOLDINGS ADR                                   404280406        7       86  SH        SOLE                    86       0      0
HSBC HOLDINGS ADR                                   404280406        8       96  SH        DEFINED                  0      96      0
HSBS HOLDINGS PLS ADR SER A
     1/40 PFD SER A                                 404280604       37     1600  SH        SOLE                  1600       0      0
HAIN CELESTIAL GROUP INC                            405217100       16      650  SH        DEFINED                650       0      0
HALLIBURTON CO                    COM               406216101       14      200  SH        SOLE                   200       0      0
HALLIBURTON CO                    COM               406216101      333     4500  SH        DEFINED               4500       0      0
HANCOCK JOHN PATRIOT PREMIUM
     DIVIDEND                     FUND II           41013T105       11     1100  SH        DEFINED               1100       0      0
HANCOCK JOHN TAX ADVANTAGED                         41013V100       62     3600  SH        SOLE                  3600       0      0
JOHN HANCOCK PFD INCOME           FUND III          41021P103       11      600  SH        SOLE                   600       0      0
HANOVER INSURANCE GROUP INC                         410867105       14      309  SH        SOLE                   309       0      0
HANOVER INSURANCE GROUP INC                         410867105        8      177  SH        DEFINED                177       0      0
HARLEY DAVIDSON                                     412822108     1563    28490  SH        SOLE                 28040       0    450
HARLEY DAVIDSON                                     412822108      484     8825  SH        DEFINED               7950     875      0
HARRAHS ENTERTAINMENT INC                           413619107        1       22  SH        SOLE                    22       0      0
HARRAHS ENTERTAINMENT INC                           413619107       15      221  SH        DEFINED                221       0      0
HARRIS CORP                                         413875105       33      800  SH        DEFINED                800       0      0
HARTFORD FINL SVCS GROUP INC      COM               416515104       97     1150  SH        SOLE                  1150       0      0
HARTFORD FINL SVCS GROUP INC      COM               416515104      102     1212  SH        DEFINED               1212       0      0
H.J. HEINZ COMPANY                                  423074103       27      675  SH        DEFINED                675       0      0
HELIX ENERGY SOLUTIONS GROUP INC                    42330P107       56     1400  SH        DEFINED               1400       0      0
HERSHEY CO                        COM               427866108      815    14815  SH        SOLE                 14415     400      0
HERSHEY CO                        COM               427866108     1006    18275  SH        DEFINED              15275    3000      0
HESS CORP                                           42809H107        5      100  SH        SOLE                   100       0      0
HEWLETT PACKARD CO                COM               428236103      128     4052  SH        DEFINED               2652    1400      0
HI / FN INC                                         428358105       21     3500  SH        SOLE                  3500       0      0
HOME DEPOT, INC                                     437076102     1788    49979  SH        SOLE                 48279       0   1700
HOME DEPOT, INC                                     437076102     1897    53006  SH        DEFINED              48497    3859    650
HONDA MOTORCORP ADR                                 438128308        3      100  SH        SOLE                   100       0      0
HONEYWELL INTERNATIONAL INC       COM               438516106      117     2921  SH        SOLE                  2921       0      0
HONEYWELL INTERNATIONAL INC       COM               438516106      219     5458  SH        DEFINED               5458       0      0






                           FORM 13F INFORMATION TABLE

------------------------------------------------------------------------------------------------------------------------------------
                                                                                                                         COLUMN 8
COLUMN 1                            COLUMN 2        COLUMN 3   COLUMN 4   COLUMN 5         COLUMN 6     COLUMN 7    VOTING AUTHORITY
------------------------------------------------------------------------------------------------------------------------------------
NAME OF                            TITLE OF                     VALUE   SHRS OR SH/ PUT/  INVESTMENT    OTHER
 ISSUER                             CLASS             CUSIP    [x$1000] PRN AMT PRN CALL  DISCRETION   MANAGERS  SOLE  SHARED  NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                                  
HOOPER HOLMES INC                                   439104100        3     1000  SH        SOLE                  1000       0      0
HOSPITALITY PROPERTIES TRUST                        44106M102      376     8570  SH        SOLE                  8570       0      0
HOSPITALITY PROPERTIES TRUST                        44106M102      173     3945  SH        DEFINED               3595     350      0
HOSPIRA INC                                         441060100        3       90  SH        DEFINED                 90       0      0
HOST MARRIOTT CORPORATION                           44107P104       18      830  SH        DEFINED                830       0      0
HUDSON CITY BANCORP                                 443683107       98     7412  SH        DEFINED               7412       0      0
HUGOTON ROYALTY TRUST                               444717102        0       14  SH        DEFINED                 14       0      0
IAC / INTERACTIVECORP NEW                           44919P300        1       60  SH        SOLE                    60       0      0
ING CLARION GLOBAL REAL ESTATE                      44982G104       48     2700  SH        SOLE                  2700       0      0
IMS HEALTH INCORPORATED                             449934108       70     2632  SH        DEFINED               2632       0      0
ITT INDUSTRIES INC                COM               450911102      811    16385  SH        SOLE                 15585       0    800
ITT INDUSTRIES INC                COM               450911102      836    16897  SH        DEFINED              13837    3060      0
ICON PUB LTD CO                                     45103T107       55     1000  SH        DEFINED               1000       0      0
IDACORP INC                       COM               451107106       10      300  SH        SOLE                   300       0      0
IDACORP INC                       COM               451107106      139     4066  SH        DEFINED               4066       0      0
ILLINOIS TOOL WORKS INC           COM               452308109       28      600  SH        SOLE                   600       0      0
ILLINOIS TOOL WORKS INC           COM               452308109       43      922  SH        DEFINED                722     200      0
IMATION CORP                      COM               45245A107        5      126  SH        DEFINED                126       0      0
IMCLONE SYSTEMS INC                                 45245W109       38     1000  SH        SOLE                  1000       0      0
INDIA FUND                                          454089103       11      250  SH        SOLE                   250       0      0
INDYMAC BANCORP INC                                 456607100       36      800  SH        DEFINED                800       0      0
INERGY LP LTD                                       456615103       25     1000  SH        SOLE                  1000       0      0
ING GLOBAL EQUITY DIVIDEND
     & PREM OPPTY FUND                              45684E107       37     1979  SH        SOLE                  1979       0      0
INSURED MUNICIPAL INCOME FUND                       45809F104        9      730            SOLE                   730       0      0
INTEGRATED DEVICE                 TECHNOLOGY        458118106       14     1000  SH        SOLE                  1000       0      0
INTEL CORP                        COM               458140100      750    39501  SH        SOLE                 38501     800    200
INTEL CORP                        COM               458140100      806    42440  SH        DEFINED              41085    1355      0
INTL BUSINESS MACHINE CORP        COMMON            459200101     1414    18421  SH        SOLE                 17921     400    100
INTL BUSINESS MACHINE CORP        COMMON            459200101     2596    33800  SH        DEFINED              30553    1847   1400
INTERNATIONAL GAME TECHNOLOGY                       459902102       26      700  SH        SOLE                   700       0      0
INTL PAPER CO                     COM               460146103       25      800  SH        DEFINED                800       0      0
INTEVAC INC                                         461148108       71     3300  SH        DEFINED                  0    3300      0
INTUIT                                              461202103       15      250  SH        DEFINED                100     150      0
INVESTMENT GRADE MUNICIPAL        INCOME FUND       461368102       12      966            SOLE                   966       0      0
INVESTORS BANCORP INC COM                           46146P102       43     3200  SH        SOLE                  3200       0      0
INVESTORS BANCORP INC COM                           46146P102       13     1000  SH        DEFINED               1000       0      0
INVITROGEN CORP                                     46185R100       45      683  SH        DEFINED                683       0      0
IOMEGA CORP                                         462030305       22     8000  SH        SOLE                  8000       0      0
I SHARES SILVER TRUST                               46428Q109        7       70  SH        DEFINED                  0      70      0
I SHARES COMEX GOLD                                 464285105        5       90  SH        DEFINED                 90       0      0
I SHARES BRAZIL FUND                                464286400       15      400  SH        SOLE                   400       0      0
I SHARES INC MSCI JAPAN           INDEX FUND        464286848        9      700  SH        DEFINED                700       0      0
I SHARES S&P 100                  INDEX FIND        464287101        2       44  SH        SOLE                    44       0      0
I SHARES TR DOW JONES SELECT DIV  INDEX FD          464287168        6      100  SH        SOLE                   100       0      0
I SHARES TR S&P 500 INDEX         FIND              464287200       72      569  SH        SOLE                   569       0      0
I SHARES TR S&P 500 INDEX         FIND              464287200       12      100  SH        DEFINED                100       0      0
I SHARES TR MSCI EMERGING         MKTS INDEX FD     464287234      281     3000  SH        SOLE                  3000       0      0
I SHARES TR MSCI EMERGING         MKTS INDEX FD     464287234      174     1855  SH        DEFINED               1120     235    500
I SHARES LEHMAN 1-3 YEAR TRS      BOND              464287457       14      180  SH        DEFINED                180       0      0
I SHARES EAFE INDEX FUND                            464287465     2871    43913  SH        SOLE                 43188       0    725
I SHARES EAFE INDEX FUND                            464287465      842    12880  SH        DEFINED               9330    2800    750
I SHARES RUSSELL MIDCAP           VALUE INDEX       464287473        8       65  SH        DEFINED                 65       0      0
I SHARES RUSSELL MIDCAP           GROWTH INDEX FUND 464287481        8       90  SH        DEFINED                 90       0      0
I SHARES TR S&P MIDCAP 400        INDEX FD          464287507       42      560  SH        SOLE                   230       0    330
I SHARES TR S&P MIDCAP 400        INDEX FD          464287507       22      300  SH        DEFINED                300       0      0
I SHARES NQ BIOTCH INX                              464287556        7      100  SH        SOLE                   100       0      0
I SHARES TR COHEN & STEERS
  REALTY MAJORS                   INDEX FD          464287564        8       98  SH        SOLE                    98       0      0
I SHARES RUSSELL 1000 VALUE                         464287598       30      420  SH        SOLE                   420       0      0
I SHARES RUSSELL 1000 VALUE                         464287598       18      250  SH        DEFINED                250       0      0






                           FORM 13F INFORMATION TABLE

------------------------------------------------------------------------------------------------------------------------------------
                                                                                                                         COLUMN 8
COLUMN 1                            COLUMN 2        COLUMN 3   COLUMN 4   COLUMN 5         COLUMN 6     COLUMN 7    VOTING AUTHORITY
------------------------------------------------------------------------------------------------------------------------------------
NAME OF                            TITLE OF                     VALUE   SHRS OR SH/ PUT/  INVESTMENT    OTHER
 ISSUER                             CLASS             CUSIP    [x$1000] PRN AMT PRN CALL  DISCRETION   MANAGERS  SOLE  SHARED  NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                                 
I SHARES TR S&P MIDCAP 400 BARRA  GRWTH INDEX FD     464287606       23      310  SH       SOLE                    310     0       0
I SHARES RUSSELL 1000 GROWTH                         464287614       31      620  SH       SOLE                    620     0       0
I SHARES RUSSELL 1000 GROWTH                         464287614       16      335  SH       DEFINED                 335     0       0
I SHARES RUSSELL 1000                                464287622       29      425  SH       DEFINED                 425     0       0
I SHARES TR RUSSELL 2000          INDEX FUND         464287655      100     1400  SH       SOLE                   1400     0       0
I SHARES TR DOW JONES
  REAL ESTATE INDEX                                  464287739       28      400  SH       SOLE                    400     0       0
I SHARES TR DOW JONES US INDL     SECTOR INDEX FD    464287754       40      645  SH       SOLE                    245     0     400
I SHARES TR DOW JONES US INDL     SECTOR INDEX FD    464287754       14      235  SH       DEFINED                 235     0       0
I SHARES DOW JONES US ENERGY      SECTOR INDEX FD    464287796       13      135  SH       SOLE                    135     0       0
I SHARES TR S & P SMALLCAP
  600/BARRA                       VAL INDEX          464287879        6      100  SH       SOLE                    100     0       0
I SHARES TR S&P SMALLCAP
     600 BARRA                    GRWTH INDEX FD     464287887       13      110  SH       SOLE                    110     0       0
J P MORGAN CHASE & CO                                46625H100     1813    43184  SH       SOLE                  43184     0       0
J P MORGAN CHASE & CO                                46625H100     2429    57847  SH       DEFINED               51294  6030     523
JARDEN CORP                                          471109108      919    30200  SH       SOLE                  30200     0       0
JARDEN CORP                                          471109108      599    19700  SH       DEFINED               19250     0     450
JETBLUE AIRWAYS                                      477143101        5      450  SH       DEFINED                 450     0       0
JOHNSON & JOHNSON                 COM                478160104     5193    86682  SH       SOLE                  85282  1000     400
JOHNSON & JOHNSON                 COM                478160104     7151   119359  SH       DEFINED              109984  6960    2415
JOHNSON CTLS INC                  COM                478366107      123     1500  SH       SOLE                   1500     0       0
JOHNSON CTLS INC                  COM                478366107      295     3600  SH       DEFINED                3600     0       0
KLA TENCOR CORP                                      482480100        1       45  SH       SOLE                     45     0       0
KLA TENCOR CORP                                      482480100        1       30  SH       DEFINED                   0    30       0
KADANT INC                                           48282T104        1       69  SH       DEFINED                  69     0       0
KANBAY INTERNATIONAL, INC                            48369P207      581    40000  SH       SOLE                  40000     0       0
KANBAY INTERNATIONAL, INC                            48369P207      184    12672  SH       DEFINED               12672     0       0
KANSAS CITY SOUTHERN
     INDUST RIES INC NEW                             485170302      138     5000  SH       SOLE                   5000     0       0
KANSAS CITY SOUTHERN
     INDUST RIES INC NEW                             485170302       27     1000  SH       DEFINED                   0  1000       0
KAYNE ANDERSON MLP INVT CO                           486606106       82     3200  SH       SOLE                   3200     0       0
KELLOGG COMPANY                                      487836108        9      200  SH       DEFINED                   0   200       0
KEMET CORP                                           488360108        9     1000  SH       DEFINED                1000     0       0
KERR MCGEE CORP                                      492386107       27      400  SH       SOLE                    400     0       0
KERR MCGEE CORP                                      492386107        2       36  SH       DEFINED                  36     0       0
KEYCORP                                              493267108       10      300  SH       DEFINED                 300     0       0
KEYSPAN CORP                      COM                49337W100       92     2300  SH       SOLE                   2300     0       0
KEYSPAN CORP                      COM                49337W100       54     1341  SH       DEFINED                1341     0       0
KIMBERLY-CLARK CORPORATION                           494368103      137     2224  SH       SOLE                   2224     0       0
KIMBERLY-CLARK CORPORATION                           494368103      182     2950  SH       DEFINED                2950     0       0
KIMCO REALTY CORPORATION                             49446R109      269     7400  SH       SOLE                   7400     0       0
KIMCO REALTY CORPORATION                             49446R109      353     9700  SH       DEFINED                7000  2700       0
KINDER MORGAN INC                                    49455P101        9      100  SH       SOLE                    100     0       0
KINDER MORGAN ENERGY
     PARTNERS L P                                    494550106      111     2425  SH       SOLE                   2425     0       0
KINDER MORGAN ENERGY
     PARTNERS L P                                    494550106      197     4300  SH       DEFINED                4300     0       0
KINROSS GOLD CORP                 COM NO PAR         496902404       14     1333  SH       DEFINED                   0 1333        0
KNOLOGY INC                       COM                499183804       18     2000  SH       DEFINED                2000    0        0
KONINKLIJKE PHILIPS ELECTRS
     N V SP ADR                                      500472303       12      400  SH       SOLE                    400    0        0
KRAFT FOODS INC                                      50075N104       30     1000  SH       DEFINED                1000    0        0
KROGER COMPANY                    COM                501044101        8      400  SH       DEFINED                 400    0        0
LSI LOGIC CORPORATION                                502161102        1      150  SH       SOLE                    150    0        0
L-3 COMMUNICATIONS HLDGS INC                         502424104     2598    34454  SH       SOLE                  33954  400      100
L-3 COMMUNICATIONS HLDGS INC                         502424104     2086    27660  SH       DEFINED               23060 3700      900
ESTEE LAUDER COMPANY                                 518439104        7      200  SH       SOLE                    200    0        0
LEAP FROG                                            52186N106        4      400  SH       DEFINED                 400    0        0
LEGG MASON INC                                       524901105        9      100  SH       DEFINED                   0  100        0
LEHMAN BROTHERS HOLDINGS INC                         524908100       30      464  SH       SOLE                    464    0        0
LENNAR CORP                                          526057104       88     2000  SH       DEFINED                2000    0        0
LENNAR CORPORATION
     CLASS B COMMON                                  526057302        8      200  SH       DEFINED                 200    0        0
LEUCADIA NATIONAL CORP                               527288104       64     2200  SH       SOLE                   2200    0        0
LILLY ELI & CO                    COM                532457108      351     6362  SH       SOLE                   6362    0        0
LILLY ELI & CO                    COM                532457108      564    10216  SH       DEFINED                9131  685      400






                           FORM 13F INFORMATION TABLE

------------------------------------------------------------------------------------------------------------------------------------
                                                                                                                         COLUMN 8
COLUMN 1                            COLUMN 2        COLUMN 3   COLUMN 4   COLUMN 5         COLUMN 6     COLUMN 7    VOTING AUTHORITY
------------------------------------------------------------------------------------------------------------------------------------
NAME OF                            TITLE OF                     VALUE   SHRS OR SH/ PUT/  INVESTMENT    OTHER
 ISSUER                             CLASS             CUSIP    [x$1000] PRN AMT PRN CALL  DISCRETION   MANAGERS  SOLE  SHARED  NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                                
LINCOLN NATIONAL CORP                                534187109       90     1600  SH       SOLE                  1600       0      0
LINCOLN NATIONAL CORP                                534187109       87     1542  SH       DEFINED               1542       0      0
LINEAR TECHNOLOGY CORP                               535678106        1       30  SH       SOLE                    30       0      0
LIVE NATION INC                                      538034109        0        3  SH       SOLE                     3       0      0
LIVE NATION INC                                      538034109        0       25  SH       DEFINED                 25       0      0
LIZ CLAIRBORNE INC                                   539320101       55     1500  SH       SOLE                  1500       0      0
LLOYDS TSB GROUP ADR                                 539439109       15      400  SH       DEFINED                400       0      0
LOCKHEED MARTIN CORP                                 539830109      143     2000  SH       SOLE                  2000       0      0
LOCKHEED MARTIN CORP                                 539830109        7      100  SH       DEFINED                100       0      0
LOWES COMPANIES INC                                  548661107     1412    23279  SH       SOLE                 23079     200      0
LOWES COMPANIES INC                                  548661107      872    14380  SH       DEFINED              11760    2620      0
LUBRIZOL CORP                      COM               549271104       39     1000  SH       DEFINED               1000       0      0
LUCENT TECHNOLOGY INC                                549463107       32    13345  SH       SOLE                 13345       0      0
LUCENT TECHNOLOGY INC                                549463107       18     7807  SH       DEFINED               7167     640      0
LYONDELL CHEMICAL COMPANY                            552078107        6      300  SH       DEFINED                300       0      0
MAF BANCORP INC                                      55261R108       55     1293  SH       SOLE                  1293       0      0
MBIA, INC                                            55262C100      929    15870  SH       SOLE                 15870       0      0
MBIA, INC                                            55262C100     1050    17950  SH       DEFINED              16600     300   1050
MFS CHARTER INCOME TRUST                             552727109       38     4750  SH       SOLE                  4750       0      0
MFS CHARTER INCOME TRUST                             552727109       12     1500  SH       DEFINED               1500       0      0
MGI PHARMACEUTICALS                                  552880106       43     2000  SH       DEFINED               2000       0      0
MACK-CALI REALTY CORP                                554489104       18      400  SH       SOLE                   400       0      0
MACQUARIE INFRASTRUCTURE CO TR                       55607X108        4      149  SH       SOLE                   149       0      0
MACQUARIE GLOBAL
     INFRASTRUCTURE TOTAL RETURN FD                  55608D101        0        2  SH       SOLE                     2       0      0
MADISON STRATEGIC SECTOR PREM FUND                   558268108        0        1  SH       SOLE                     1       0      0
MAGELLAN HEALTH SERVICES                             559079207       27      600  SH       SOLE                   600       0      0
MANITOWAC COMPANY INC                                563571108       24      550  SH       DEFINED                  0     550      0
MANULIFE FINANCIAL CORP                              56501R106       68     2164  SH       DEFINED               2164       0      0
MARATHON OIL CORP                                    565849106      272     3273  SH       DEFINED               3273       0      0
MARSHALL & ILSLEY CORP                               571834100      384     8415  SH       SOLE                  8415       0      0
MARSHALL & ILSLEY CORP                               571834100      254     5560  SH       DEFINED               5560       0      0
MARRIOTT INTERNATIONAL-A                             571903202     2381    62500  SH       SOLE                 62500       0      0
MARRIOTT INTERNATIONAL-A                             571903202     2027    53200  SH       DEFINED              45090    7160    950
MARTHA STEWART LIVING                                573083102        0       25  SH       SOLE                    25       0      0
MASTERCARD INC                                       57636Q104       24      500  SH       SOLE                   500       0      0
MCCLATCHY COMPANY                                    579489105       18      452  SH       DEFINED                401      51      0
MCCORMICK & CO INC COMMON NON-VOTING                 579780206     1356    40430  SH       SOLE                 40330       0    100
MCCORMICK & CO INC COMMON NON-VOTING                 579780206     1209    36047  SH       DEFINED              34155    1292    600
MCDONALDS CORP                     COM               580135101        5      165  SH       SOLE                   165       0      0
MCDONALDS CORP                     COM               580135101       69     2080  SH       DEFINED               2000      80      0
MCGRAW HILL COMPANIES INC                            580645109       72     1450  SH       SOLE                  1450       0      0
MCGRAW HILL COMPANIES INC                            580645109      168     3360  SH       DEFINED               3360       0      0
MCKESSON CORPORATION                                 58155Q103        6      148  SH       DEFINED                148       0      0
MEADWESTVACO CORP                                    583334107       32     1180  SH       DEFINED                  0    1180      0
MEDAREX INC                                          583916101        3      400  SH       DEFINED                400       0      0
MEDCO HEALTH SOLUTIONS                               58405U102        2       47  SH       SOLE                    47       0      0
MEDCO HEALTH SOLUTIONS                               58405U102       90     1582  SH       DEFINED               1558      24      0
MEDIVATION                                           58501N101       36     7000  SH       SOLE                  7000       0      0
MEDTRONIC INC                                        585055106       81     1745  SH       SOLE                  1745       0      0
MEDTRONIC INC                                        585055106      137     2940  SH       DEFINED               2940       0      0
MELLON FINANCIAL CORP              COM               58551A108       27      800  SH       DEFINED                800       0      0
MERCANTILE BANKSHARES CORP         COM               587405101       21      600  SH       DEFINED                600       0      0
MERCK & CO INC                     COM               589331107      282     7768  SH       SOLE                  7768       0      0
MERCK & CO INC                     COM               589331107     1084    29762  SH       DEFINED              28267    1495      0
MERRILL LYNCH & CO INC                               590188108      339     4885  SH       SOLE                  4885       0      0
MERRILL LYNCH & CO INC                               590188108      459     6610  SH       DEFINED               5770     840      0
METLIFE INC                                          59156R108       26      518  SH       SOLE                   518       0      0
METLIFE INC                                          59156R108       51     1000  SH       DEFINED               1000       0      0
MICROSOFT CORP                                       594918104     1005    43170  SH       SOLE                 43170       0      0






                           FORM 13F INFORMATION TABLE

------------------------------------------------------------------------------------------------------------------------------------
                                                                                                                         COLUMN 8
COLUMN 1                            COLUMN 2        COLUMN 3   COLUMN 4   COLUMN 5         COLUMN 6     COLUMN 7    VOTING AUTHORITY
------------------------------------------------------------------------------------------------------------------------------------
NAME OF                            TITLE OF                     VALUE   SHRS OR SH/ PUT/  INVESTMENT    OTHER
 ISSUER                             CLASS             CUSIP    [x$1000] PRN AMT PRN CALL  DISCRETION   MANAGERS  SOLE  SHARED  NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                                
MICROSOFT CORP                                       594918104     1141    49017  SH       DEFINED               44000   3617   1400
MID PENN BANCORP                                     59540G107        2      105  SH       SOLE                    105      0      0
S&P DEPOSITORY RECEIPT             MIDCAP TR UNIT    595635103     1094     7865  SH       SOLE                   7865      0      0
S&P DEPOSITORY RECEIPT             MIDCAP TR UNIT    595635103      385     2770  SH       DEFINED                2620    150      0
MILLENNIUM PHARMACEUTICALS                           599902103        7      800  SH       DEFINED                 800      0      0
MINE SAFETY APPLIANCES                               602720104      104     2600  SH       SOLE                   2600      0      0
MIRANT CORP NEW                                      60467R100      115     4300  SH       SOLE                   4300      0      0
MOLEX INC CLASS A                                    608554200       11      400  SH       SOLE                    400      0      0
MOLSON COORS BREWING COMPANY       CLASS B           60871R209        2       40  SH       SOLE                     40      0      0
MONSANTO CO NEW                                      61166W101       10      125  SH       SOLE                    125      0      0
MONSANTO CO NEW                                      61166W101       17      207  SH       DEFINED                 207      0      0
MOODYS CORP                                          615369105       54     1000  SH       SOLE                   1000      0      0
MOODYS CORP                                          615369105       10      200  SH       DEFINED                   0    200      0
MORGAN STANLEY COMPANY                               617446448     2733    43245  SH       SOLE                  42845      0    400
MORGAN STANLEY COMPANY                               617446448     1298    20543  SH       DEFINED               18228   2315      0
MOTHERS WORK INC                                     619903107        1       51  SH       SOLE                     51      0      0
MOTOROLA,INC                                         620076109       16      800  SH       SOLE                    800      0      0
MOTOROLA,INC                                         620076109      160     7980  SH       DEFINED                6250   1730      0
MUELLER WATER PRODUCTS INC                           624758108       17     1000  SH       DEFINED                1000      0      0
MUNIHOLDING NY INSD FUND INC                         625931100       17     1253           DEFINED                1253      0      0
MUNIHOLDINGS NEW JERSEY INS D FUND INC               625936109      103     7200           DEFINED                7200      0      0
MURPHY OIL CORPORATION                               626717102      223     4000  SH       DEFINED                4000      0      0
NCR CORP                           NEW               62886E108        7      196  SH       SOLE                    196      0      0
NCR CORP                           NEW               62886E108        0       14  SH       DEFINED                  14      0      0
NALCO HOLDINGS CO                                    62985Q101      140     8000  SH       SOLE                   8000      0      0
NASDAQ 100 TRUST UNIT SER 1                          631100104       26      675  SH       SOLE                    675      0      0
NASDAQ 100 TRUST UNIT SER 1                          631100104        3      100  SH       DEFINED                 100      0      0
NATIONAL CITY CORP                                   635405103       47     1300  SH       SOLE                   1300      0      0
NATIONAL CITY CORP                                   635405103      108     3000  SH       DEFINED                1800   1200      0
NATIONAL FUEL GAS CO N J           COM               636180101       28      800  SH       SOLE                    800      0      0
NATIONAL FUEL GAS CO N J           COM               636180101       98     2792  SH       DEFINED                2792      0      0
NATIONAL OILWELL VARCO INC                           637071101        0       13  SH       SOLE                     13      0      0
NATURAL GAS SERVICES GROUP                           63886Q109       29     2000  SH       SOLE                   2000      0      0
NAUTILUS INC                                         63910B102       15     1000  SH       DEFINED                1000      0      0
NAVISTAR INTL CORP NEW             COM               63934E108       46     1900  SH       SOLE                   1900      0      0
NETWORK APPLIANCE INC                                64120L104       12      350  SH       SOLE                    350      0      0
NEUROCRINE BIOSCIENCES INC                           64125C109        4      400  SH       SOLE                    400      0      0
NEW JERSEY RESOURCES CORPORATION                     646025106      181     3889  SH       SOLE                   3889      0      0
NEW PLAN EXCEL RLTY TR INC         COM               648053106       37     1500  SH       DEFINED                 400   1100      0
NEWMONT MINING CORP                                  651639106        7      147  SH       SOLE                    147      0      0
NEWMONT MINING CORP                                  651639106      174     3300  SH       DEFINED                1200   1400    700
NEWS CORP CLASS A                                    65248E104        0       38  SH       DEFINED                  36      2      0
NEWS CORP CLASS B                                    65248E203       24     1200  SH       DEFINED                1200      0      0
NEWTEK BUSINESS SERVICES INC       COM               652526104        3     2000  SH       DEFINED                2000      0      0
NICOR INC                          COM               654086107       33      800  SH       SOLE                    800      0      0
NIKE INC                           CL B              654106103        3       40  SH       SOLE                     40      0      0
NIKE INC                           CL B              654106103        8      100  SH       DEFINED                   0    100      0
NISOURCE INC                       COM               65473P105        0       17  SH       SOLE                     17      0      0
NISOURCE INC                       COM               65473P105      123     5633  SH       DEFINED                5633      0      0
NOBEL LEARNING COMMUNITIES INC                       654889104       40     4000  SH       DEFINED                4000      0      0
NOKIA CORPORATION                  ADR               654902204       27     1350  SH       DEFINED                1350      0      0
NORAM ENERGY CORP SUB DEB          CONV 6% 3/15/12   655419AC3       20    20950  PRN      DEFINED               20950      0      0
NORDSON CORP                                         655663102       14      300  SH       DEFINED                 300      0      0
NORDSTROM, INC.                                      655664100       18      500  SH       DEFINED                   0    500      0
NORFOLK SOUTHERN CORP              COM               655844108      251     4730  SH       SOLE                   4730      0      0
NORFOLK SOUTHERN CORP              COM               655844108      269     5060  SH       DEFINED                4700    360      0
NORSK HYDRO ADR                                      656531605       13      500  SH       DEFINED                   0    500      0
NORTEL NETWORKS CORP               NEW               656568102        0      300  SH       SOLE                    300      0      0
NORTEL NETWORKS CORP               NEW               656568102        6     3040  SH       DEFINED                3000     40      0






                           FORM 13F INFORMATION TABLE

------------------------------------------------------------------------------------------------------------------------------------
                                                                                                                         COLUMN 8
COLUMN 1                            COLUMN 2        COLUMN 3   COLUMN 4   COLUMN 5         COLUMN 6     COLUMN 7    VOTING AUTHORITY
------------------------------------------------------------------------------------------------------------------------------------
NAME OF                            TITLE OF                     VALUE   SHRS OR SH/ PUT/  INVESTMENT    OTHER
 ISSUER                             CLASS             CUSIP    [x$1000] PRN AMT PRN CALL  DISCRETION   MANAGERS  SOLE  SHARED  NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                                 
NORTH EUROPEAN OIL ROYALTY
     TRUST BEN. INTEREST                             659310106       29      800  SH       SOLE                   800     0        0
NORTHFORK BANCORP                                    659424105       66     2200  SH       SOLE                  2200     0        0
NORTHERN TRUST CORP                                  665859104       11      200  SH       SOLE                   200     0        0
NORTHROP GRUMMAN CORP                                666807102       25      400  SH       SOLE                   400     0        0
NORTHROP GRUMMAN CORP                                666807102       10      158  SH       DEFINED                158     0        0
NOVA CHEMICALS CORP                                  66977W109        1       45  SH       SOLE                    45     0        0
NOVAGOLD RES INC                                     66987E206       12     1000  SH       DEFINED               1000     0        0
NOVARTIS AG ADRS                                     66987V109       19      355  SH       SOLE                   355     0        0
NOVARTIS AG ADRS                                     66987V109        5      100  SH       DEFINED                100     0        0
NOVELL INC                                           670006105        0      100  SH       SOLE                   100     0        0
NUVEEN EQUITY PREM OPPORTUNITY                       6706EM102       47     2650  SH       SOLE                  2650     0        0
NUVEEN INVT QUALITY
     MUNICIPAL FUND                                  67062E103        0       70           DEFINED                  0    70        0
NUVEEN SELECT TAX FREE INC         SH OF
                                   BENEFICIAL INT    67062F100        1      140  SH       DEFINED                  0   140        0
NUVEEN PREMIUM INCOME
     MUNICIPAL FUND                                  67062T100        0       60           DEFINED                  0    60        0
NUVEEN REAL ESTATE INCOME FUND                       67071B108        4      200  SH       SOLE                   200     0        0
OGE ENERGY CO.                                       670837103       14      400  SH       DEFINED                400     0        0
NUVEEN INVTS INC                                     67090F106        4      100  SH       DEFINED                  0   100        0
NUVEEN MUNICIPAL VALUE FUND INC                      670928100        4      500           SOLE                   500     0        0
NUVEEN NJ INVT QUALITY MUN FUND         COM          670971100       17     1300           SOLE                  1300     0        0
NUVEEN NJ INVT QUALITY MUN FUND         COM          670971100       19     1400           DEFINED               1400     0        0
NUVEEN SELECT QUALITY
     MUNICIPAL FUND                                  670973106        4      300           SOLE                   300     0        0
NUVEEN SELECT QUALITY
     MUNICIPAL FUND                                  670973106        0       60           DEFINED                  0    60        0
NUVEEN INSD MUNICIPAL
     OPPORTUNITY FUND INC                            670984103       57     4070           SOLE                  4070     0        0
NUVEEN PREMIER INSURED MUNICIPAL INCOME FUND         670987106       22     1650           DEFINED               1650     0        0
NUVEEN NJ PREMIUM INCOME                             67101N106       59     4193           SOLE                  4193     0        0
OSI PHARMACEUTICALS INC.           COM               671040103        2       64  SH       DEFINED                 64     0        0
OCCIDENTAL PETE CORP DEL           COM               674599105       56      550  SH       SOLE                   550     0        0
OCCIDENTAL PETE CORP DEL           COM               674599105       20      200  SH       DEFINED                200     0        0
ONEOK PARTNERS LIMITED
     PARTNERSHIP                                     68268N103       72     1475  SH       SOLE                  1475     0        0
ONEOK PARTNERS LIMITED
     PARTNERSHIP                                     68268N103       64     1300  SH       DEFINED               1300     0        0
ONEOK INC NEW                      COM               682680103      136     4000  SH       DEFINED               4000     0        0
ORACLE CORPORATION                                   68389X105       89     6200  SH       SOLE                  6200     0        0
ORACLE CORPORATION                                   68389X105       81     5600  SH       DEFINED               5300   300        0
OVERSEAS SHIPBUILDING GROUP I      COM               690368105       59     1000  SH       DEFINED               1000     0        0
PDL BIOPHARMA INC                                    69329Y104      808    43953  SH       SOLE                 43953     0        0
PG&E CORP                          COM               69331C108       15      400  SH       DEFINED                400     0        0
PHH CORPORATION COM                                  693320202        0        5  SH       SOLE                     5     0        0
PHH CORPORATION COM                                  693320202        0       10  SH       DEFINED                 10     0        0
PNC FINANCIAL SERVICES GROUP       COM               693475105      178     2550  SH       SOLE                  2550     0        0
PNC FINANCIAL SERVICES GROUP       COM               693475105      719    10251  SH       DEFINED               3918  6333        0
PPG INDS INC                       COM               693506107      658     9970  SH       SOLE                  9870     0      100
PPG INDS INC                       COM               693506107      662    10045  SH       DEFINED               8145  1600      300
PPL CORP                                             69351T106       22      700  SH       SOLE                   700     0        0
PPL CORP                                             69351T106       38     1200  SH       DEFINED                800   400        0
PACCAR INC                         COM               693718108        1       15  SH       SOLE                    15     0        0
PACCAR INC                         COM               693718108      101     1237  SH       DEFINED               1237     0        0
PACIFIC ENERGY PARTNERS LP                           69422R105       32     1000  SH       SOLE                  1000     0        0
PACTIV CORP                        COM               695257105        1       64  SH       SOLE                    64     0        0
PALM INC NEW COM                                     696643105        0       36  SH       SOLE                    36     0        0
PANERA BREAD CO CL A                                 69840W108        6      100  SH       SOLE                   100     0        0
PARKER DRILLING CO                 COM               701081101        2      300  SH       SOLE                   300     0        0
PARKER HANNIFIN CORP               COM               701094104        3       40  SH       SOLE                    40     0        0
PAXAR CORP                                           704227107        2      100  SH       SOLE                   100     0        0
PEABODY ENERGY CORP                                  704549104     3097    55560  SH       SOLE                 55560     0        0
PEABODY ENERGY CORP                                  704549104     1846    33130  SH       DEFINED              26350  5280     1500
PEAPACK-GLADSTONE
     FINANCIAL CORPORATION                           704699107    10578   408769  SH       SOLE                407769     0     1000
PEAPACK-GLADSTONE
     FINANCIAL CORPORATION                           704699107    14247   550533  SH       DEFINED             503313 47220        0
PENGROWTH ENERGY TRUST CLASS A                       706902301       48     2000  SH       SOLE                  2000     0        0
PENN VA RESOURCE PARTNERS LP                         707884102      349    13000  SH       SOLE                 13000     0        0






                           FORM 13F INFORMATION TABLE

------------------------------------------------------------------------------------------------------------------------------------
                                                                                                                         COLUMN 8
COLUMN 1                            COLUMN 2        COLUMN 3   COLUMN 4   COLUMN 5         COLUMN 6     COLUMN 7    VOTING AUTHORITY
------------------------------------------------------------------------------------------------------------------------------------
NAME OF                            TITLE OF                     VALUE   SHRS OR SH/ PUT/  INVESTMENT    OTHER
 ISSUER                             CLASS             CUSIP    [x$1000] PRN AMT PRN CALL  DISCRETION   MANAGERS  SOLE  SHARED  NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                                
PENN VA RESOURCE PARTNERS LP                         707884102      158     5900  SH       DEFINED                5900     0       0
J.C.PENNEY CO.,INC.                                  708160106      108     1601  SH       DEFINED                1601     0       0
PEOPLES ENERGY CORPORATION                           711030106       47     1333  SH       DEFINED                1333     0       0
PEPCO HOLDINGS INC                 COM               713291102       25     1100  SH       SOLE                   1100     0       0
PEPCO HOLDINGS INC                 COM               713291102       78     3323  SH       DEFINED                3323     0       0
PEPSICO INC                        COM               713448108     5450    90786  SH       SOLE                  89211   550    1025
PEPSICO INC                        COM               713448108     3149    52451  SH       DEFINED               46256  6195       0
PEREGRINE PHARMACEUTICALS INC                        713661106        0      100  SH       DEFINED                 100     0       0
PEROT SYS CORP CL A                                  714265105        0       65  SH       SOLE                     65     0       0
PETRO CANADA                                         71644E102        4      100  SH       SOLE                    100     0       0
PETROFUND ENERGY TRUST                               71648W108       18      750  SH       DEFINED                 750     0       0
PETROLEO BRASILEIRO
     SA PETROBRAS P                                  71654V408        8      100  SH       DEFINED                 100     0       0
PETROLEUM & RESOURCES CORPORATION                    716549100       17      520  SH       DEFINED                 520     0       0
PFIZER INC                         COM               717081103     1738    74108  SH       SOLE                  74108     0       0
PFIZER INC                         COM               717081103     1327    56582  SH       DEFINED               53647  2935       0
THE PHOENIX COMPANIES,INC.                           71902E109       64     4553  SH       SOLE                   1124     0    3429
PIMCO MUNICIPAL INCOME FUND                          72200R107       67     4010           SOLE                   4010     0       0
CEF PIMCO CORP INC FUND                              72200U100       12      859  SH       SOLE                    859     0       0
PIMCO MUNICIPAL INCOME FUND II                       72200W106       11      816           SOLE                    816     0       0
PIONEER MUNICIPAL HIGH INCOME TR                     723763108       13     1006           SOLE                   1006     0       0
PIPER JAFFRAY COMPANIES                              724078100        0        2  SH       SOLE                      2     0       0
PITNEY BOWES INC                   COM               724479100      165     3999  SH       SOLE                   3999     0       0
PITNEY BOWES INC                   COM               724479100       52     1282  SH       DEFINED                1282     0       0
PLAINS EXPLORATION &
     PRODUCTION CORP                                 726505100       19      490  SH       DEFINED                 490     0       0
PLUM CREEK TIMBER CO INC           COM               729251108       75     2125  SH       SOLE                   2125     0       0
PLUM CREEK TIMBER CO INC           COM               729251108       20      575  SH       DEFINED                 575     0       0
POTASH CORP OF SASKATCHEWAN                          73755L107        8      100  SH       DEFINED                 100     0       0
PRAXAIR INC                                          74005P104       12      240  SH       SOLE                    240     0       0
PREFERRED INCOME STRATEGIES FUND                     74038E100       27     1425  SH       SOLE                   1425     0       0
PRIMEWEST ENERGY TRUST                               741930309       44     1500  SH       SOLE                   1500     0       0
PROCTER & GAMBLE CO                COM               742718109     5581   100410  SH       SOLE                  98985   300    1125
PROCTER & GAMBLE CO                COM               742718109     4215    75825  SH       DEFINED               65830  8095    1900
PROGRESS ENERGY INC                COM               743263105        8      200  SH       SOLE                    200     0       0
PROLOGIS TRUST                                       743410102     1029    19750  SH       SOLE                  19750     0       0
PROLOGIS TRUST                                       743410102     1225    23525  SH       DEFINED               21175  2025     325
PROTECTIVE LIFE CORP                                 743674103       27      596  SH       SOLE                    596     0       0
PROVIDENT ENERGY TR                UNIT              74386K104        6      558  SH       SOLE                    558     0       0
PROVIDENT ENERGY TR                UNIT              74386K104      103     8400  SH       DEFINED                   0  8400       0
PRUDENTIAL FINANCIAL INC                             744320102      149     1928  SH       SOLE                   1190     0     738
PRUDENTIAL FINANCIAL INC                             744320102       28      369  SH       DEFINED                   0   369       0
PUBLIC SERVICE
     ENTERPRISE GROUP, INC.                          744573106      745    11271  SH       SOLE                  11271     0       0
PUBLIC SERVICE
     ENTERPRISE GROUP, INC.                          744573106     1199    18139  SH       DEFINED               16865  1274       0
PUGET ENERGY INC NEW                                 745310102       25     1182  SH       SOLE                   1182     0       0
PUTNAM HIGH YIELD MUNICIPAL TRUST                    746781103       20     3000           DEFINED                3000     0       0
QUALCOMM INC                                         747525103     3137    78310  SH       SOLE                  77310     0    1000
QUALCOMM INC                                         747525103     1650    41190  SH       DEFINED               33330  7460     400
QUEST DIAGNOSTICS INC              COM               74834L100     3694    61660  SH       SOLE                  60660     0    1000
QUEST DIAGNOSTICS INC              COM               74834L100     2053    34270  SH       DEFINED               29175  4495     600
QUESTAR CORP                                         748356102       56      700  SH       DEFINED                 700     0       0
QWEST COMMUNICATIONS INT'L                           749121109        0       89  SH       SOLE                     89     0       0
QWEST COMMUNICATIONS INT'L                           749121109        2      317  SH       DEFINED                 317     0       0
QUOVADX INC                                          74913K106        5     2000  SH       DEFINED                2000     0       0
RPM INTERNATIONAL INC                                749685103      103     5750  SH       SOLE                   5750     0       0
RADIOSHACK CORP                                      750438103       49     3500  SH       SOLE                   3500     0       0
RAINING DATA CORP                                    75087R108       19     4900  SH       DEFINED                4900     0       0
RAMTRON INTL CORP                  COM NEW           751907304        0      282  SH       DEFINED                 282     0       0
RANGE RES CORP                                       75281A109       13      500  SH       DEFINED                 500     0       0
RAYONIER INC                       COM               754907103        8      215  SH       SOLE                    215     0       0
RAYTHEON CO                                          755111507       46     1050  SH       SOLE                   1050     0       0






                           FORM 13F INFORMATION TABLE

------------------------------------------------------------------------------------------------------------------------------------
                                                                                                                         COLUMN 8
COLUMN 1                            COLUMN 2        COLUMN 3   COLUMN 4   COLUMN 5         COLUMN 6     COLUMN 7    VOTING AUTHORITY
------------------------------------------------------------------------------------------------------------------------------------
NAME OF                            TITLE OF                     VALUE   SHRS OR SH/ PUT/  INVESTMENT    OTHER
 ISSUER                             CLASS             CUSIP    [x$1000] PRN AMT PRN CALL  DISCRETION   MANAGERS  SOLE  SHARED  NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                                
RAYTHEON CO                                          755111507      204     4600  SH       DEFINED               4600       0      0
REALTY INCOME CORP                 COM               756109104       35     1600  SH       SOLE                  1600       0      0
REALTY INCOME CORP                 COM               756109104       10      500  SH       DEFINED                500       0      0
REAVES UTIL INCOME FUND                              756158101      258    13225  SH       SOLE                 13225       0      0
RED HAT INC                        COM               756577102        0       30  SH       DEFINED                 30       0      0
RENTECH INC                                          760112102       13     3000  SH       DEFINED               3000       0      0
RIO TINTO PLC SPON ADR                               767204100       10       50  SH       SOLE                    50       0      0
ROCKWELL AUTOMATION INC                              773903109      754    10482  SH       SOLE                 10115     367      0
ROCKWELL AUTOMATION INC                              773903109      525     7295  SH       DEFINED               6545     750      0
ROCKWELL COLLINS INC                                 774341101       20      367  SH       SOLE                     0     367      0
ROGERS COMMUNICATION INC.          CL.B NON VOTING   775109200      282     7000  SH       SOLE                  7000       0      0
ROPER INDUSTRIES INC                                 776696106       74     1600  SH       SOLE                  1600       0      0
ROYAL BANK SCOTLAND GROUP          PLC PRF 6.35%     780097770       23     1000  SH       SOLE                  1000       0      0
ROYAL BK SCOTLD GROUP PLC          SPONS'D
                                   ADR SER L PFD     780097788       34     1600  SH       SOLE                  1600       0      0
ROYAL BK SCOTLD GROUP PLC          SPONS'D
                                   ADR SER L PFD     780097788       86     4000  SH       DEFINED               4000       0      0
ROYAL BANK OF SCOTLAND PLC         PRD SHRS SER M    780097796       43     1800  SH       SOLE                  1800       0      0
ROYAL DUTCH SHELL PLC  CLASS B                       780259107       54      775  SH       SOLE                   775       0      0
ROYAL DUTCH SHELL PLC  CLASS A                       780259206       40      600  SH       SOLE                   600       0      0
ROYAL DUTCH SHELL PLC  CLASS A                       780259206      899    13438  SH       DEFINED              13438       0      0
RUBY TUESDAY INC.                                    781182100       16      656  SH       DEFINED                656       0      0
SCOLR PHARMA INC                                     78402X107       17     3600  SH       DEFINED               3600       0      0
SLM CORP                                             78442P106      316     5975  SH       SOLE                  5975       0      0
SLM CORP                                             78442P106      158     3000  SH       DEFINED               3000       0      0
STANDARD & POORS
     DEPOSITORY RECEIPTS                             78462F103      894     7028  SH       SOLE                  6728       0    300
STANDARD & POORS
     DEPOSITORY RECEIPTS                             78462F103       88      694  SH       DEFINED                360     334      0
SAFEGUARD SCIENTIFIC INC. COM                        786449108        4     2000  SH       DEFINED               2000       0      0
SAFEWAY INC                                          786514208        5      200  SH       DEFINED                200       0      0
THE ST. PAUL TRAVELERS
     COMPANIES INC.                                  792860108       39      886  SH       SOLE                   886       0      0
THE ST. PAUL TRAVELERS
     COMPANIES INC.                                  792860108       64     1437  SH       DEFINED               1427      10      0
SAKS INC                                             79377W108       19     1200  SH       SOLE                  1200       0      0
THE SALOMON BROTHERS FUND INC                        795477108       18     1175  SH       DEFINED               1175       0      0
SARA LEE CORP                      COM               803111103      144     9000  SH       SOLE                  9000       0      0
SARA LEE CORP                      COM               803111103       32     2000  SH       DEFINED               2000       0      0
SASOL LTD SPONSORED ADR                              803866300       19      500  SH       SOLE                   500       0      0
SCANA CORP NEW                                       80589M102      138     3600  SH       DEFINED               3600       0      0
HENRY SCHEIN, INC                  COM               806407102       28      600  SH       DEFINED                600       0      0
SCHERING PLOUGH CORP               COM               806605101      272    14346  SH       SOLE                 14346       0      0
SCHERING PLOUGH CORP               COM               806605101      186     9819  SH       DEFINED               9819       0      0
SCHERING-PLOUGH MANDATORY          CONV PREF         806605606      875    17400  SH       SOLE                 17400       0      0
SCHERING-PLOUGH MANDATORY          CONV PREF         806605606      571    11350  SH       DEFINED              10850     500      0
SCHLUMBERGER LTD                   COM               806857108      591     9078  SH       SOLE                  8278       0    800
SCHLUMBERGER LTD                   COM               806857108      973    14956  SH       DEFINED              14956       0      0
SCOTTISH PWR PLC SPONSORED ADR                       81013T804        9      215  SH       SOLE                   215       0      0
SEA CONTAINERS LTD                 CLASS A COMMON    811371707        0      100  SH       DEFINED                100       0      0
SEALED AIR CORP NEW                COM               81211K100      222     4275  SH       SOLE                  4275       0      0
SEALED AIR CORP NEW                COM               81211K100      182     3503  SH       DEFINED               3353     150      0
SECTOR SPDR TR                                       81369Y605        5      165  SH       SOLE                   165       0      0
SELECTIVE INS. GROUP INC.                            816300107      497     8900  SH       SOLE                  8900       0      0
SEMPRA ENERGY                      COM               816851109      209     4600  SH       DEFINED               4600       0      0
SEPRACOR INC                                         817315104       57     1000  SH       SOLE                  1000       0      0
THE SHERWIN-WILLIAMS COMPANY                         824348106       22      481  SH       DEFINED                481       0      0
SIEMENS AG SPONSORED ADR                             826197501       17      200  SH       SOLE                   200       0      0
SIGMA-ALDRICH CORP                                   826552101       43      600  SH       SOLE                   600       0      0
SIMON PPTY GROUP INC NEW           COM               828806109     1616    19486  SH       SOLE                 19086       0    400
SIMON PPTY GROUP INC NEW           COM               828806109     1713    20655  SH       DEFINED              19255    1275    125
SIRIUS SATELLITE RADIO INC                           82966U103        2      500  SH       SOLE                   500       0      0
SIRIUS SATELLITE RADIO INC                           82966U103        9     2100  SH       DEFINED               2100       0      0
SKYWORKS SOLUTIONS                                   83088M102        1      233  SH       SOLE                   233       0      0
SMITH INTERNATIONAL INC COM                          832110100        5      134  SH       DEFINED                  0     134      0






                           FORM 13F INFORMATION TABLE

------------------------------------------------------------------------------------------------------------------------------------
                                                                                                                         COLUMN 8
COLUMN 1                            COLUMN 2        COLUMN 3   COLUMN 4   COLUMN 5         COLUMN 6     COLUMN 7    VOTING AUTHORITY
------------------------------------------------------------------------------------------------------------------------------------
NAME OF                            TITLE OF                     VALUE   SHRS OR SH/ PUT/  INVESTMENT    OTHER
 ISSUER                             CLASS             CUSIP    [x$1000] PRN AMT PRN CALL  DISCRETION   MANAGERS  SOLE  SHARED  NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                                
J. M. SMUCKER CO                                     832696405       22      500  SH       DEFINED                 500      0      0
SOLECTRON CORP                                       834182107       31     9200  SH       SOLE                   9200      0      0
SONIC CORP                                           835451105       14      675  SH       SOLE                    675      0      0
SONIC CORP                                           835451105       49     2362  SH       DEFINED                2362      0      0
SONOCO PRODUCTS                                      835495102      228     7218  SH       SOLE                   7218      0      0
SONY CORP ADR AMERN SH NEW         EA REPR 1
                                   JAPANESE          835699307       26      600  SH       DEFINED                 600      0      0
SOUTH JERSEY INDUSTRIES,INC                          838518108        9      342  SH       DEFINED                 342      0      0
SOUTHERN CO                        COM               842587107      327    10213  SH       SOLE                  10213      0      0
SOUTHERN CO                        COM               842587107      423    13225  SH       DEFINED               13225      0      0
SOUTHERN UNION CO                                    844030106       51     1900  SH       SOLE                   1900      0      0
SOVEREIGN BANCORP INC                                845905108       42     2100  SH       SOLE                   2100      0      0
SOVEREIGN BANCORP INC                                845905108       10      500  SH       DEFINED                 500      0      0
SPRINT NEXTEL CORP                                   852061100        0       50  SH       SOLE                     50      0      0
SPRINT NEXTEL CORP                                   852061100       31     1595  SH       DEFINED                1595      0      0
STAPLES INC                                          855030102       53     2200  SH       SOLE                   2200      0      0
STAPLES INC                                          855030102       20      850  SH       DEFINED                 750    100      0
STARBUCKS CORPORATION                                855244109     1285    34040  SH       SOLE                  33590    450      0
STARBUCKS CORPORATION                                855244109     1540    40800  SH       DEFINED               36130   4170    500
STARWOOD HOTELS &
     RESORTS WORLDWIDE INC         COM               85590A401       30      501  SH       SOLE                    501      0      0
STARWOOD HOTELS &
     RESORTS WORLDWIDE INC         COM               85590A401       51      857  SH       DEFINED                 857      0      0
STATOIL ASA SPONSORED ADR                            85771P102       14      500  SH       DEFINED                   0    500      0
STRATTEC SECURITY CORPORATION                        863111100        0       20  SH       SOLE                     20      0      0
STREETTRACKS GOLD TR                                 863307104       24      400  SH       SOLE                    400      0      0
STREETTRACKS GOLD TR                                 863307104       19      325  SH       DEFINED                 325      0      0
STRYKER CORP                                         863667101        4      100  SH       SOLE                    100      0      0
STRYKER CORP                                         863667101       82     1960  SH       DEFINED                1960      0      0
SUBURBAN PROPANE
     PARTNERS LP UNIT LTD                            864482104      104     3300  SH       SOLE                   3300      0      0
SUBURBAN PROPANE
     PARTNERS LP UNIT LTD                            864482104      211     6700  SH       DEFINED                 700   6000      0
SUN MICROSYSTEMS INC               COM               866810104        2      500  SH       SOLE                    500      0      0
SUN MICROSYSTEMS INC               COM               866810104       21     5150  SH       DEFINED                5150      0      0
SUNAMERICA FOCUSED ALPHA GROWTH FUND INC             867037103       51     3000  SH       SOLE                   3000      0      0
SUNCOR ENERGY INC                                    867229106       32      400  SH       DEFINED                 400      0      0
SUNOCO INC                                           86764P109       16      238  SH       SOLE                    238      0      0
SUNOCO INC                                           86764P109      207     3000  SH       DEFINED                3000      0      0
SUNTRUST BANKS INC                                   867914103      174     2292  SH       SOLE                   2292      0      0
SUPERGEN INC                       COM               868059106      127    35000  SH       DEFINED               35000      0      0
SUPER VALUE INC                                      868536103        0        6  SH       SOLE                      6      0      0
SYMANTEC                                             871503108       46     3000  SH       SOLE                   3000      0      0
SYMANTEC                                             871503108       15     1000  SH       DEFINED                1000      0      0
SYMBOL TECHNOLOGIES INC            COM               871508107        0        8  SH       DEFINED                   8      0      0
SYNGENTA AG                                          87160A100        2       85  SH       SOLE                     85      0      0
SYSCO CORPORATION                                    871829107      387    12700  SH       SOLE                  12700      0      0
SYSCO CORPORATION                                    871829107      212     6960  SH       DEFINED                4950   2010      0
TC PIPELINES LTD                                     87233Q108       16      500  SH       SOLE                    500      0      0
TECO ENERGY INC                    COM               872375100      108     7230  SH       SOLE                   7230      0      0
TECO ENERGY INC                    COM               872375100       82     5550  SH       DEFINED                3550   2000      0
TEPPCO PARTNERS LP                                   872384102       77     2200  SH       SOLE                   2200      0      0
TJX COMPANIES                                        872540109       50     2200  SH       SOLE                   2200      0      0
TJX COMPANIES                                        872540109       45     2000  SH       DEFINED                2000      0      0
TXU CORP                                             873168108      155     2600  SH       DEFINED                2600      0      0
TALISMAN ENERGY INC                                  87425E103      916    52445  SH       SOLE                  52445      0      0
TALISMAN ENERGY INC                                  87425E103      742    42510  SH       DEFINED               42150    360      0
TARGET CORPORATION                                   87612E106     1901    38925  SH       SOLE                  38375      0    550
TARGET CORPORATION                                   87612E106     1779    36415  SH       DEFINED               33775   2640      0
TAUBMAN CTRS INC                   COM               876664103       20      500  SH       SOLE                    500      0      0
TAUBMAN CTRS INC                   COM               876664103       49     1200  SH       DEFINED                1200      0      0
TELEFONOS DE MEXICO SA DE          CV ADR            879403780       16      800  SH       DEFINED                 800      0      0
TEMPLETON GLOBAL
     INCOME FUND INC                                 880198106        3      371  SH       SOLE                    371      0      0
TERADYNE INC                                         880770102       48     3500  SH       SOLE                   3500      0      0






                           FORM 13F INFORMATION TABLE

------------------------------------------------------------------------------------------------------------------------------------
                                                                                                                         COLUMN 8
COLUMN 1                            COLUMN 2        COLUMN 3   COLUMN 4   COLUMN 5         COLUMN 6     COLUMN 7    VOTING AUTHORITY
------------------------------------------------------------------------------------------------------------------------------------
NAME OF                            TITLE OF                     VALUE   SHRS OR SH/ PUT/  INVESTMENT    OTHER
 ISSUER                             CLASS             CUSIP    [x$1000] PRN AMT PRN CALL  DISCRETION   MANAGERS  SOLE  SHARED  NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                                
TEVA PHARMACEUTICAL INDS ADR                         881624209     2303    72930  SH       SOLE                 71855     0     1075
TEVA PHARMACEUTICAL INDS ADR                         881624209     1563    49500  SH       DEFINED              37090 12410        0
TEXAS INSTRUMENTS                                    882508104     2754    90924  SH       SOLE                 89124     0     1800
TEXAS INSTRUMENTS                                    882508104     1550    51178  SH       DEFINED              46785  3893      500
THERMO ELECTRON CORP               COM               883556102       82     2272  SH       DEFINED               2272     0        0
THOMAS & BETTS CORPORATION                           884315102       20      400  SH       DEFINED                400     0        0
THORNBURG MORTGAGE INC                               885218107       25      900  SH       SOLE                   900     0        0
3COM CORP                          COM               885535104        0      185  SH       SOLE                   185     0        0
3COM CORP                          COM               885535104        5     1000  SH       DEFINED               1000     0        0
3M CO COM                                            88579Y101     1455    18023  SH       SOLE                 17623     0      400
3M CO COM                                            88579Y101     2440    30219  SH       DEFINED              27994  1675      550
TIME WARNER INC NEW                                  887317105       65     3775  SH       SOLE                  3775     0        0
TIME WARNER INC NEW                                  887317105       80     4653  SH       DEFINED               4613    40        0
TIMKEN CO                                            887389104       67     2000  SH       DEFINED               2000     0        0
TORONTO DOMINION BANK                                891160509        5      100  SH       SOLE                   100     0        0
TOYOTA MOTOR CORP ADR                                892331307       10      100  SH       DEFINED                100     0        0
TRANSCANADA CORP                                     89353D107        4      152  SH       SOLE                   152     0        0
TREEHOUSE FOODS INC                                  89469A104        1       60  SH       DEFINED                  0    60        0
TRI-CONTINENTAL CORPORATION                          895436103       14      739  SH       DEFINED                739     0        0
TRIBUNE CO NEW COM                                   896047107       39     1227  SH       DEFINED               1227     0        0
TRONOX INC COM CL B                                  897051207        0       40  SH       SOLE                    40     0        0
TRONOX INC COM CL B                                  897051207        0        3  SH       DEFINED                  3     0        0
TUPPERWARE BRANDS CORP                               899896104        1      100  SH       DEFINED                100     0        0
TYCO INTL LTD                      NEW COM           902124106       85     3100  SH       SOLE                  3100     0        0
TYCO INTL LTD                      NEW COM           902124106        4      150  SH       DEFINED                150     0        0
UGI CORPORATION                                      902681105       67     2725  SH       SOLE                  2725     0        0
UGI CORPORATION                                      902681105       83     3400  SH       DEFINED               3400     0        0
UIL HLDG CORP                                        902748102       35      637  SH       DEFINED                637     0        0
UST INC                            COM               902911106        7      167  SH       DEFINED                  0   167        0
US BANCORP DEL COM                                   902973304      988    32000  SH       SOLE                 31200   800        0
US BANCORP DEL COM                                   902973304      410    13290  SH       DEFINED              12290  1000        0
UNILIVER NV NY SHARE F NEW                           904784709       27     1200  SH       DEFINED               1200     0        0
UNION PACIFIC CORP                 COM               907818108      156     1683  SH       SOLE                  1683     0        0
UNION PACIFIC CORP                 COM               907818108      468     5040  SH       DEFINED               3180   400     1460
UNITED PARCEL SERVICE                                911312106     3000    36446  SH       SOLE                 35696     0      750
UNITED PARCEL SERVICE                                911312106     1620    19680  SH       DEFINED              16605  2475      600
UNITED TECHNOLOGIES CORP           COM               913017109     3192    50339  SH       SOLE                 50339     0        0
UNITED TECHNOLOGIES CORP           COM               913017109     2682    42304  SH       DEFINED              36751  5553        0
UNIVERSAL TECHNICAL                                  913915104       17      800  SH       DEFINED                800     0        0
VAIL BKS INC                                         918779109       16     1000  SH       DEFINED               1000     0        0
VALERO LP                                            91913W104       31      636  SH       SOLE                   636     0        0
VALERO LP                                            91913W104       17      362  SH       DEFINED                362     0        0
VALERO ENERGY CORP                                   91913Y100       13      200  SH       SOLE                   200     0        0
VALLEY NATIONAL BANCORP.                             919794107      451    17568  SH       SOLE                 17568     0        0
VALLEY NATIONAL BANCORP.                             919794107       53     2091  SH       DEFINED               2091     0        0
VECTREN CORPORATION                                  92240G101       44     1650  SH       SOLE                  1650     0        0
VECTREN CORPORATION                                  92240G101       29     1100  SH       DEFINED                700   400        0
VANGUARD VIPERS SMALL CAP                            922908611      198     3020  SH       SOLE                  3020     0        0
VANGUARD VIPERS SMALL CAP                            922908611      114     1750  SH       DEFINED               1450   300        0
VANGUARD SMALL CAP VIPER                             922908751      217     3425  SH       SOLE                  3425     0        0
VANGUARD SMALL CAP VIPER                             922908751       23      375  SH       DEFINED                375     0        0
VERIZON CORPORATION                                  92343V104      885    26437  SH       SOLE                 26437     0        0
VERIZON CORPORATION                                  92343V104     1807    53976  SH       DEFINED              49519  1471     2986
VIACOM INC NEW CLASS A                               92553P102        3       90  SH       SOLE                    90     0        0
VIACOM INC NEW                                       92553P201        4      137  SH       SOLE                   137     0        0
VIACOM INC NEW                                       92553P201        7      202  SH       DEFINED                162    40        0
VODAFONE GROUP PLC                                   92857W100       75     3541  SH       SOLE                  1936  1605        0
VODAFONE GROUP PLC                                   92857W100      253    11923  SH       DEFINED              10155   768     1000
VORNADO REALTY TRUST                                 929042109      165     1700  SH       SOLE                  1700     0        0







                           FORM 13F INFORMATION TABLE

------------------------------------------------------------------------------------------------------------------------------------
                                                                                                                         COLUMN 8
COLUMN 1                            COLUMN 2        COLUMN 3   COLUMN 4   COLUMN 5         COLUMN 6     COLUMN 7    VOTING AUTHORITY
------------------------------------------------------------------------------------------------------------------------------------
NAME OF                            TITLE OF                     VALUE   SHRS OR SH/ PUT/  INVESTMENT    OTHER
 ISSUER                             CLASS             CUSIP    [x$1000] PRN AMT PRN CALL  DISCRETION   MANAGERS  SOLE  SHARED  NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                                
VORNADO REALTY TRUST                                 929042109      390     4000  SH       DEFINED               3100     900      0
VULCAN MATERIALS COMPANY           COM               929160109      156     2000  SH       DEFINED               2000       0      0
WGL HOLDINGS INC                                     92924F106      156     5400  SH       DEFINED               2400    2000   1000
WPS RESOURCES CORP                 COM               92931B106       39      800  SH       SOLE                   800       0      0
WACHOVIA CORP 2ND NEW COM                            929903102     4734    87545  SH       SOLE                 87545       0      0
WACHOVIA CORP 2ND NEW COM                            929903102     1890    34956  SH       DEFINED              34632     324      0
WAL-MART STORES INC                                  931142103       12      260  SH       SOLE                   260       0      0
WAL-MART STORES INC                                  931142103      243     5065  SH       DEFINED               5065       0      0
WALGREEN CO                                          931422109       26      600  SH       SOLE                   600       0      0
WALGREEN CO                                          931422109       47     1062  SH       DEFINED                500     562      0
WALTER INDUSTRIES                                    93317Q105      184     3200  SH       DEFINED               3200       0      0
WASHINGTON MUTUAL INC                                939322103       36      800  SH       SOLE                   800       0      0
WASHINGTON MUTUAL INC                                939322103       45     1000  SH       DEFINED               1000       0      0
WASHINGTON REAL
     ESTATE INVT TR SBI                              939653101       18      500  SH       DEFINED                500       0      0
WASHINGTON TRUST BANCORP INC                         940610108       87     3163  SH       DEFINED               3163       0      0
WASTE MANAGEMENT INC                                 94106L109       35     1000  SH       SOLE                  1000       0      0
WASTE MANAGEMENT INC                                 94106L109        5      145  SH       DEFINED                145       0      0
WELLPOINT                          COM               94973V107       18      260  SH       SOLE                   260       0      0
WELLPOINT                          COM               94973V107       14      200  SH       DEFINED                200       0      0
WELLS FARGO & CO NEW               COM               949746101     3066    45709  SH       SOLE                 44459     450    800
WELLS FARGO & CO NEW               COM               949746101     2857    42592  SH       DEFINED              34485    7097   1010
WESTERN GAS RESOURCES INC                            958259103       59     1000  SH       DEFINED               1000       0      0
WEYERHAEUSER CO                    COM               962166104      124     2000  SH       DEFINED               2000       0      0
WHIRLPOOL CORP                     COM               963320106       28      350  SH       DEFINED                 50       0    300
WHITING PETROLEUM CORP                               966387102       25      600  SH       DEFINED                600       0      0
WHOLE FOOD MARKET INC                                966837106       21      340  SH       SOLE                   340       0      0
WHOLE FOOD MARKET INC                                966837106       58      900  SH       DEFINED                900       0      0
WILLIAMS COS INC DEL               COM               969457100        2      100  SH       SOLE                   100       0      0
WILLIAMS COS INC DEL               COM               969457100       70     3000  SH       DEFINED               3000       0      0
WILLIAMS SONOMA INC                COM               969904101      163     4800  SH       DEFINED               2800    2000      0
WISCONSIN ENERGY CORP              COM               976657106      198     4936  SH       DEFINED               4936       0      0
WRIGLEY WM JR CO                                     982526105      591    13041  SH       SOLE                 13041       0      0
WRIGLEY WM JR CO                                     982526105      736    16240  SH       DEFINED              14247    1993      0
WYETH INC.                                           983024100     1523    34313  SH       SOLE                 34313       0      0
WYETH INC.                                           983024100     1884    42444  SH       DEFINED              38819    3425    200
XTO ENERGY INC                                       98385X106      114     2583  SH       DEFINED               2583       0      0
XILINX INC                                           983919101       22     1000  SH       SOLE                  1000       0      0
XILINX INC                                           983919101       72     3200  SH       DEFINED               3200       0      0
YAHOO INC                                            984332106       24      750  SH       DEFINED                475     275      0
YUM BRANDS INC                                       988498101        7      150  SH       SOLE                   150       0      0
YUM BRANDS INC                                       988498101        2       40  SH       DEFINED                 40       0      0
ZIMMER HOLDINGS GROUP                                98956P102      314     5545  SH       SOLE                  5545       0      0
ZIMMER HOLDINGS GROUP                                98956P102      387     6829  SH       DEFINED               6829       0      0

 GRAND TOTALS                                                    414823 10176712                              9528379  478989 169344