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

                                   FORM 13F

                             FORM 13F COVER PAGE


Report for the Calendar Year or Quarter Ended  3/31/03
                                              -----------------

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:  ROY C. MILLER
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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:

/s/ Roy C. Miller                  Gladstone, NJ                 04/22/03
-------------------------------    --------------------------    ------------
[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:     7,202,606
                                            ---------
Form 13F Information Table Value Total:      214,552
                                            ---------
                                            (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
                                                            VALUE    SHARES/  SH/  PUT/  INVSTMT   OTHER      VOTING AUTHORITY
        NAME OF ISSUER         TITLE OF CLASS     CUSIP    (X$1000)  PRN AMT  PRN  CALL  DSCRETN  MANAGERS  SOLE    SHARED   NONE
-----------------------------  ---------------  ---------  --------  -------  ---  ----  -------  --------  -----   ------   ----
                                                                                            
DAIMLER-CHRYSLER AG ORD                         D1668R123       24       848   SH        DEFINED              848        0      0
COOPER INDUSTRIES LTD CLASS A                   G24182100       17       500   SH        DEFINED              500        0      0
FOSTER WHEELER LTD                              G36535105        0       200   SH        DEFINED              200        0      0
INGERSOLL RAND COMPANY CLASS A COMMON           G4776G101       72      1875   SH        SOLE                1875        0      0
INGERSOLL RAND COMPANY CLASS A COMMON           G4776G101      256      6650   SH        DEFINED             6650        0      0
NABORS INDUSTRIES LTD COM                       G6359F103        3       100   SH        DEFINED              100        0      0
TRANSOCEAN INC                                  G90078109        9       477   SH        DEFINED              477        0      0
GILAT SATELLITE NETWORK LTD                     M51474100        0      2412   SH        SOLE                2412        0      0
FLEXTRONICS INTERNATIONAL                       Y2573F102       27      3200   SH        SOLE                3200        0      0
FLEXTRONICS INTERNATIONAL                       Y2573F102      150     17300   SH        DEFINED            16600        0    700
ACM MANAGED INCOME FUND                         000919100        1       300   SH        DEFINED              300        0      0
AFLAC INCORPORATED                              001055102       38      1200   SH        DEFINED             1200        0      0
AGCO CORPORATION                                001084102      434     27000   SH        SOLE               25850        0   1150
AGCO CORPORATION                                001084102      212     13225   SH        DEFINED            13225        0      0
AES CORPORATION                                 00130H105        3       933   SH        SOLE                 933        0      0
AK STEEL HOLDING CORP                           001547108        3      1000   SH        DEFINED             1000        0      0
AOL TIME WARNER INC                             00184A105      197     18225   SH        SOLE               17125        0   1100
AOL TIME WARNER INC                             00184A105      464     42788   SH        DEFINED            39488        0   3300
AT&T CORP NEW                                   001957505       32      2006   SH        SOLE                2006        0      0
AT&T CORP NEW                                   001957505       81      5011   SH        DEFINED             4557      454      0
ATMI, INC.                                      00207R101       19      1000   SH        SOLE                1000        0      0
AT&T WIRELESS SERVICES INC                      00209A106       13      2032   SH        SOLE                2032        0      0
AT&T WIRELESS SERVICES INC                      00209A106       69     10487   SH        DEFINED             9973      193    321
AVI BIOPHARMA INC                               002346104        6      2000   SH        DEFINED             2000        0      0
AASTROM BIOSCIENCES                             00253U107        1      3500   SH        DEFINED             3500        0      0
ABBOTT LABS                 COM                 002824100      452     12027   SH        SOLE               11527        0    500
ABBOTT LABS                 COM                 002824100     1167     31035   SH        DEFINED            28535     2500      0
ABERCROMBIE & FITCH                             002896207       12       400   SH        DEFINED              400        0      0
ADAMS EXPRESS COMPANY                           006212104       11      1085   SH        DEFINED             1085        0      0






                                                        FORM 13F INFORMATION TABLE
                                                            VALUE    SHARES/  SH/  PUT/  INVSTMT   OTHER      VOTING AUTHORITY
        NAME OF ISSUER         TITLE OF CLASS     CUSIP    (X$1000)  PRN AMT  PRN  CALL  DSCRETN  MANAGERS  SOLE    SHARED   NONE
-----------------------------  --------------   ---------  --------  -------  ---  ----  -------  --------  -----   ------   ----
                                                                                            
ADOBE SYSTEMS INCORPORATED                      00724F101       15       500   SH        SOLE                 500        0      0
AEGON N V ORD                                   007924103       22      3000   SH        SOLE                3000        0      0
AGERE SYSTEMS INC CLASS A                       00845V100        0        34   SH        SOLE                  34        0      0
AGERE SYSTEMS INC CLASS A                       00845V100        0        70   SH        DEFINED               38        0     32
AGERE SYSTEMS INC CLASS B                       00845V209        0       359   SH        SOLE                 359        0      0
AGERE SYSTEMS INC CLASS B                       00845V209        3      2290   SH        DEFINED             1497        0    793
AGILENT TECHNOLOGIES                            00846U101        4       376   SH        SOLE                 376        0      0
AGILENT TECHNOLOGIES                            00846U101       45      3438   SH        DEFINED             2829      381    228
AGNICO EAGLE MINES LTD                          008474108        1       150   SH        SOLE                 150        0      0
AIR PRODUCTS & CHEMICALS INC                    009158106      486     11750   SH        SOLE               11275        0    475
AIR PRODUCTS & CHEMICALS INC                    009158106      304      7350   SH        DEFINED             6950      400      0
AIRTRAN HOLDINGS INC        COM                 00949P108        0       100   SH        DEFINED              100        0      0
ALBEMARLE CORP                                  012653101       19       800   SH        SOLE                 800        0      0
ALCOA INC                   COM                 013817101      120      6200   SH        SOLE                6200        0      0
ALCOA INC                   COM                 013817101        7       400   SH        DEFINED              400        0      0
ALLEGHENY ENERGY INC                            017361106       19      3200   SH        DEFINED             2000     1200      0
ALLERGAN INC COM                                018490102       10       150   SH        DEFINED              150        0      0
ALLETE INC                                      018522102        8       400   SH        DEFINED              400        0      0
ALLIANCE CAPITAL MANAGEMENT  HOLDING LP         01855A101       20       725   SH        DEFINED              725        0      0
ALLIANCE RESOURCE PARTNERS L P                  01877R108       22      1000   SH        DEFINED             1000        0      0
ALLIANT ENERGY CORP         COM                 018802108       46      2900   SH        SOLE                2900        0      0
ALLIANT ENERGY CORP         COM                 018802108       17      1066   SH        DEFINED             1066        0      0
ALLIED CAPITAL CORP         NEW                 01903Q108       39      2000   SH        SOLE                2000        0      0
ALLMERICA FINANCIAL CORPORATION                 019754100        4       309   SH        SOLE                 309        0      0
ALLMERICA FINANCIAL CORPORATION                 019754100        2       177   SH        DEFINED              177        0      0
ALLSTATE CORP               COM                 020002101       68      2076   SH        SOLE                2076        0      0
ALLSTATE CORP               COM                 020002101       39      1184   SH        DEFINED             1184        0      0
ALLTELL CORPORATION                             020039103      653     14600   SH        SOLE               14600        0      0
ALLTELL CORPORATION                             020039103      119      2671   SH        DEFINED             2671        0      0
AMEREN CORP                 COM                 023608102       74      1900   SH        SOLE                1900        0      0
AMEREN CORP                 COM                 023608102      105      2700   SH        DEFINED             2700        0      0
AMERICA MOVIL ADS                               02364W105        5       400   SH        DEFINED              400        0      0
AMERICAN ELEC PWR INC       COM                 025537101      134      5902   SH        SOLE                5902        0      0
AMERICAN ELEC PWR INC       COM                 025537101      191      8404   SH        DEFINED             8404        0      0






                                                        FORM 13F INFORMATION TABLE
                                                            VALUE    SHARES/  SH/  PUT/  INVSTMT   OTHER      VOTING AUTHORITY
        NAME OF ISSUER         TITLE OF CLASS     CUSIP    (X$1000)  PRN AMT  PRN  CALL  DSCRETN  MANAGERS  SOLE    SHARED   NONE
-----------------------------  ---------------  ---------  --------  -------  ---  ----  -------  --------  -----   ------   ----
                                                                                            
AMERICAN EXPRESS CO         COM                 025816109      136      4100   SH        SOLE                4100        0      0
AMERICAN EXPRESS CO         COM                 025816109      481     14500   SH        DEFINED            14500        0      0
AMERICAN INTERNATIONAL GROUP                    026874107     1008     20395   SH        SOLE               19995        0    400
AMERICAN INTERNATIONAL GROUP                    026874107     1940     39244   SH        DEFINED            35869     2500    875
AMERICAN STANDARD COMPANIES INC                 029712106       34       500   SH        DEFINED              500        0      0
AMERICAN TOWER CORP CLASS A                     029912201        1       300   SH        DEFINED              300        0      0
AMETEK INC (NEW)                                031100100      105      3200   SH        SOLE                3200        0      0
AMETEK INC (NEW)                                031100100        9       280   SH        DEFINED              280        0      0
AMGEN INC                                       031162100      618     10753   SH        SOLE               10753        0      0
AMGEN INC                                       031162100      101      1770   SH        DEFINED             1770        0      0
AMSOUTH BANCORPORATION                          032165102       33      1687   SH        DEFINED             1687        0      0
ANADARKO PETE CORP          COM                 032511107      512     11254   SH        SOLE               11254        0      0
ANADARKO PETE CORP          COM                 032511107      977     21481   SH        DEFINED            19997        0   1484
ANHEUSER BUSCH COS INC      COM                 035229103     1034     22202   SH        SOLE               21002        0   1200
ANHEUSER BUSCH COS INC      COM                 035229103     1089     23365   SH        DEFINED            21890     1125    350
ANTHEM INC                                      03674B104       33       500   SH        SOLE                 500        0      0
ANTIGENICS INC DEL                              037032109        0        89   SH        DEFINED                0        0     89
APACHE CORPORATION                              037411105      223      3613   SH        SOLE                3613        0      0
APOLLO GROUP INC CL A                           037604105       19       400   SH        DEFINED                0        0    400
APPLERA CORP COM CELERA GENOMICS GROUP          038020202        0        13   SH        DEFINED               13        0      0
APPLIED MICRO CIRCUITS CORP                     03822W109        0       100   SH        SOLE                 100        0      0
APPLIED MATERIALS INC                           038222105       37      3000   SH        SOLE                3000        0      0
ARCH CHEMICALS INC                              03937R102        6       333   SH        DEFINED                0      333      0
ARCHER-DANIELS-MIDLAND       COMPANY            039483102        1       100   SH        SOLE                 100        0      0
ARCHSTONE-SMITH TR                              039583109       21      1000   SH        SOLE                1000        0      0
ARM HOLDINGS PLC ADR                            042068106       12      5000   SH        SOLE                5000        0      0
ARVINMERITOR INC COM                            043353101        1       100   SH        DEFINED              100        0      0
ASTRAZENECA PLC SPONSORED   ADR                 046353108      114      3348   SH        SOLE                3348        0      0
ATMEL CORPORATION                               049513104        0       600   SH        DEFINED              600        0      0
AURORA FOODS INC                                05164B106        0      1501   SH        SOLE                1501        0      0
AUTHENTIDATE HOLDING CORP                       052666104        1      1000   SH        SOLE                1000        0      0
AUTOMATIC DATA PROCESSING                       053015103      510     16585   SH        SOLE               16035        0    550
AUTOMATIC DATA PROCESSING                       053015103      624     20285   SH        DEFINED            18385     1600    300






                                                        FORM 13F INFORMATION TABLE
                                                            VALUE    SHARES/  SH/  PUT/  INVSTMT   OTHER      VOTING AUTHORITY
        NAME OF ISSUER         TITLE OF CLASS     CUSIP    (X$1000)  PRN AMT  PRN  CALL  DSCRETN  MANAGERS  SOLE    SHARED   NONE
-----------------------------  ---------------  ---------  --------  -------  ---  ----  -------  --------  -----   ------   ----
                                                                                            
AVAYA INC                   COM    USD .01      053499109        1       593   SH        SOLE                 593        0      0
AVAYA INC                   COM    USD .01      053499109        4      2440   SH        DEFINED             2440        0      0
AVERY DENNISON CORP                             053611109       20       350   SH        DEFINED              350        0      0
AVISTA CORP                 COM                 05379B107        6       600   SH        DEFINED              600        0      0
AVON PRODUCTS                                   054303102       28       500   SH        DEFINED              500        0      0
BASF AG ADR                                     055262505       15       417   SH        SOLE                 417        0      0
BCE INC                     COM                 05534B109        1       100   SH        SOLE                 100        0      0
BOC GROUP PLC ADR                               055617609       12       500   SH        DEFINED              500        0      0
BP PLC                                          055622104      722     18722   SH        SOLE               18622        0    100
BP PLC                                          055622104     1355     35123   SH        DEFINED            34123     1000      0
BAKER HUGHES INCORPORATED   COMMON              057224107        3       125   SH        SOLE                 125        0      0
BALLARD POWER SYSTEMS INC                       05858H104        4       500   SH        DEFINED              500        0      0
BANK AMERICA CORP           COM                 060505104      872     13053   SH        SOLE               13053        0      0
BANK AMERICA CORP           COM                 060505104      503      7537   SH        DEFINED             6437     1100      0
BANK OF NEW YORK INC                            064057102      739     36064   SH        SOLE               36064        0      0
BANK OF NEW YORK INC                            064057102      222     10868   SH        DEFINED            10868        0      0
BK NOVA SCOTIA LA BANQUE DE NOUVELLE ECOSSE     064149107        3       107   SH        SOLE                 107        0      0
BANC ONE CORP               COM                 06423A103       90      2615   SH        DEFINED             2615        0      0
BARR LABS INC                                   068306109       25       450   SH        DEFINED              450        0      0
BAUSCH & LOMB INC           COM                 071707103       32      1000   SH        SOLE                1000        0      0
BAXTER INTERNATIONAL                            071813109       26      1400   SH        SOLE                1400        0      0
BAXTER INTERNATIONAL                            071813109       18      1000   SH        DEFINED             1000        0      0
BEA SYSTEMS INC.                                073325102        4       400   SH        SOLE                 400        0      0
BECTON DICKINSON & COMPANY                      075887109       44      1300   SH        DEFINED             1300        0      0
BED BATH & BEYOND                               075896100       48      1400   SH        DEFINED             1400        0      0
BEDFORD PROPERTY INVESTORS INC                  076446301        2       100   SH        DEFINED              100        0      0
BELLSOUTH CORP              COM                 079860102      305     14092   SH        SOLE               14092        0      0
BELLSOUTH CORP              COM                 079860102      864     39928   SH        DEFINED            37428     2100    400
BEST BUY COMPANY INC                            086516101       93      3450   SH        SOLE                3450        0      0
BEST BUY COMPANY INC                            086516101       50      1872   SH        DEFINED             1872        0      0
BIOJECT MEDICAL TECH                            09059T206        5      1500   SH        DEFINED             1500        0      0
BIOVAIL CORPORATION                             09067J109      982     24650   SH        SOLE               24650        0      0
BIOVAIL CORPORATION                             09067J109      650     16320   SH        DEFINED            13475     1395   1450






                                                        FORM 13F INFORMATION TABLE
                                                            VALUE    SHARES/  SH/  PUT/  INVSTMT   OTHER      VOTING AUTHORITY
        NAME OF ISSUER         TITLE OF CLASS     CUSIP    (X$1000)  PRN AMT  PRN  CALL  DSCRETN  MANAGERS  SOLE    SHARED   NONE
-----------------------------  ---------------  ---------  --------  -------  ---  ----  -------  --------  -----   ------   ----
                                                                                            
BLACK & DECKER CORP         COM                 091797100       13       400   SH        DEFINED              400        0      0
BLACKROCK MUNICIPAL INCOME TRUST                09248F109        5       400   SH        DEFINED              400        0      0
BLACKROCK STRATEGIC MUNICPAL TRUST              09248T109        5       400   SH        DEFINED              400        0      0
BLOCK H & R INC             COM                 093671105       34       800   SH        DEFINED              800        0      0
BOEING CO                   COM                 097023105      101      4065   SH        SOLE                4065        0      0
BOEING CO                   COM                 097023105       42      1686   SH        DEFINED             1686        0      0
BOSTON PROPERTIES INC.                          101121101        9       250   SH        SOLE                 250        0      0
BOSTON SCIENTIFIC CORP.                         101137107       16       400   SH        DEFINED              400        0      0
BRIGGS & STRATTON CORPORATION                   109043109        0        19   SH        SOLE                  19        0      0
BRISTOL-MYERS SQUIBB                            110122108      844     40000   SH        SOLE               37350        0   2650
BRISTOL-MYERS SQUIBB                            110122108     2184    103441   SH        DEFINED           101541      900   1000
BROADCOM CORPORATION        COM                 111320107        3       300   SH        DEFINED                0        0    300
BROWN FORMAN DISTILLERS CORPCLASS 'A' VOTING    115637100       46       600   SH        DEFINED              600        0      0
BUCKEYE PIPELINE PARTNERS LP                    118230101      276      7700   SH        SOLE                7700        0      0
BUCKEYE PIPELINE PARTNERS LP                    118230101      398     11100   SH        DEFINED            11100        0      0
BURLINGTON NORTHERN SANTA FE CORP               12189T104       19       777   SH        SOLE                 777        0      0
BURLINGTON NORTHERN SANTA FE CORP               12189T104       98      3949   SH        DEFINED             2829     1120      0
BURLINGTON RESOURCES                            122014103       47      1000   SH        DEFINED             1000        0      0
CRACKER BARREL GROUP INC                        12489V106       22       825   SH        SOLE                 825        0      0
CSX CORP                    COM                 126408103       11       400   SH        SOLE                 400        0      0
CSX CORP                    COM                 126408103       34      1200   SH        DEFINED             1200        0      0
CVS CORP                    COM                 126650100      645     27075   SH        SOLE               24925        0   2150
CVS CORP                    COM                 126650100      707     29690   SH        DEFINED            24965     2850   1875
CABLE & WIRELESS                                126830207       11      3600   SH        SOLE                3600        0      0
CAL DIVE INTL INC                               127914109       12       700   SH        DEFINED              700        0      0
CALIPER TECHNOLOGIES CORP                       130876105        7      2200   SH        SOLE                2200        0      0
CALPINE CORP                                    131347106        0       100   SH        SOLE                 100        0      0
CALPINE CORP                                    131347106        0       200   SH        DEFINED              200        0      0
CAMPBELL SOUP CO            COM                 134429109       42      2000   SH        DEFINED             2000        0      0
CAPITAL ONE FINANCIAL                           14040H105      991     33050   SH        SOLE               32400        0    650
CAPITAL ONE FINANCIAL                           14040H105      369     12325   SH        DEFINED            10475      200   1650
CARDINAL HEALTH                                 14149Y108      281      4950   SH        SOLE                4625        0    325
CARDINAL HEALTH                                 14149Y108      133      2340   SH        DEFINED             1465      875      0






                                                        FORM 13F INFORMATION TABLE
                                                            VALUE    SHARES/  SH/  PUT/  INVSTMT   OTHER      VOTING AUTHORITY
        NAME OF ISSUER         TITLE OF CLASS     CUSIP    (X$1000)  PRN AMT  PRN  CALL  DSCRETN  MANAGERS  SOLE    SHARED   NONE
-----------------------------  ---------------  ---------  --------  -------  ---  ----  -------  --------  -----   ------   ----
                                                                                            
CAREER EDUCATION CORP                           141665109       39       800   SH        SOLE                 800        0      0
CAREER EDUCATION CORP                           141665109       92      1900   SH        DEFINED             1400        0    500
CARMAX INC                                      143130102       72      5000   SH        SOLE                5000        0      0
CATERPILLAR INC                                 149123101        4       100   SH        SOLE                 100        0      0
CATERPILLAR INC                                 149123101       83      1700   SH        DEFINED             1700        0      0
CELL PATHWAYS INC                               15114R101        5      5900   SH        DEFINED             5900        0      0
CENDANT CORPORATION                             151313103        7       600   SH        DEFINED              600        0      0
CENTER BANCORP INC          COM                 151408101      117      4432   SH        DEFINED             4432        0      0
CENTERPOINT ENERGY INC                          15189T107        7      1100   SH        DEFINED             1100        0      0
CEPHALON INC.                                   156708109        1        47   SH        DEFINED               47        0      0
CERTEGY INC                                     156880106        8       325   SH        DEFINED              325        0      0
CHESAPEAKE ENERGY CORP                          165167107       15      2000   SH        DEFINED             2000        0      0
CHEVRONTEXACO CORP                              166764100      904     13988   SH        SOLE               12588        0   1400
CHEVRONTEXACO CORP                              166764100     1003     15519   SH        DEFINED            15319      100    100
CHINA MOBILE HONG KONG LTD ADR                  16941M109       45      4600   SH        DEFINED             1800        0   2800
CHOICEPOINT INC             COM                 170388102       23       700   SH        DEFINED                0        0    700
CHORDIANT SOFTWARE INC.                         170404107        0       240   SH        DEFINED              240        0      0
THE CHUBB CORPORATION                           171232101      504     11380   SH        SOLE               10130        0   1250
THE CHUBB CORPORATION                           171232101      592     13375   SH        DEFINED            13375        0      0
CHURCH & DWIGHT INC         COM                 171340102       60      2000   SH        DEFINED             2000        0      0
CIENA CORPORATION                               171779101        1       300   SH        DEFINED              300        0      0
CIGNA INVESTMENT SECURITIES,INC.                17179X106       37      2191   SH        DEFINED             2191        0      0
CINERGY CORP                                    172474108       18       550   SH        DEFINED              550        0      0
CISCO SYS INC                                   17275R102     1110     85544   SH        SOLE               85544        0      0
CISCO SYS INC                                   17275R102      868     66899   SH        DEFINED            65499        0   1400
CITIGROUP INC                                   172967101     1562     45352   SH        SOLE               42902        0   2450
CITIGROUP INC                                   172967101     3170     92021   SH        DEFINED            91325      430    266
CITRIX SYSTEMS INC                              177376100        1       100   SH        DEFINED              100        0      0
CLEAR CHANNEL COMMUNICATIONS                    184502102     1276     37650   SH        SOLE               37650        0      0
CLEAR CHANNEL COMMUNICATIONS                    184502102      590     17400   SH        DEFINED            16300      600    500
CLOROX CO DEL               COM                 189054109        4       100   SH        DEFINED              100        0      0
COCA COLA CO                COM                 191216100      104      2594   SH        SOLE                2594        0      0
COCA COLA CO                COM                 191216100      688     17004   SH        DEFINED            16504      500      0






                                                        FORM 13F INFORMATION TABLE
                                                            VALUE    SHARES/  SH/  PUT/  INVSTMT   OTHER      VOTING AUTHORITY
        NAME OF ISSUER         TITLE OF CLASS     CUSIP    (X$1000)  PRN AMT  PRN  CALL  DSCRETN  MANAGERS  SOLE    SHARED   NONE
-----------------------------  ---------------  ---------  --------  -------  ---  ----  -------  --------  -----   ------   ----
                                                                                            
COGNIZANT TECHNOLOGY CO                         192446102       26       398   SH        DEFINED              398        0      0
COLGATE PALMOLIVE CO        COM                 194162103     1852     34041   SH        SOLE               33941        0    100
COLGATE PALMOLIVE CO        COM                 194162103     2283     41959   SH        DEFINED            41859      100      0
COMCAST CORP NEW CLASS A                        20030N101       95      3325   SH        SOLE                3325        0      0
COMCAST CORP NEW CLASS A                        20030N101      252      8821   SH        DEFINED             7764      734    323
COMCAST CORP NEW CLASS A SPL                    20030N200       49      1800   SH        SOLE                1800        0      0
COMERICA INC. CO                                200340107       28       750   SH        DEFINED              750        0      0
CONAGRA FOODS INC           COM                 205887102       38      1900   SH        DEFINED             1400      500      0
CONEXANT SYS INC            COM                 207142100        2      1966   SH        DEFINED             1966        0      0
CONOCOPHILLIPS CORP                             20825C104      209      3917   SH        SOLE                3917        0      0
CONOCOPHILLIPS CORP                             20825C104      768     14349   SH        DEFINED            13349        0   1000
CONSOLIDATED EDISON         COM                 209115104      186      4842   SH        SOLE                4842        0      0
CONSOLIDATED EDISON         COM                 209115104       55      1448   SH        DEFINED              648      800      0
CONSTELLATION BRANDS INC CL A                   21036P108      705     31070   SH        SOLE               30870        0    200
CONSTELLATION BRANDS INC CL A                   21036P108      846     37275   SH        DEFINED            35025      200   2050
CONSTELLATION ENERGY GROUP  INC      COM        210371100       66      2400   SH        DEFINED             2400        0      0
CONTINENTAL AIRLINES INC CL B                   210795308        1       300   SH        DEFINED              300        0      0
CORN PRODS INTL INC         COM                 219023108       17       600   SH        DEFINED              600        0      0
CORNING INC                                     219350105       35      6100   SH        SOLE                6100        0      0
CORNING INC                                     219350105      160     27486   SH        DEFINED            26586        0    900
CORPORATE HIGH YIELD FUND III INC               219925104       16      2000   SH        DEFINED             2000        0      0
COX COMMUNICATIONS INC NEW CL A                 224044107       18       604   SH        DEFINED              604        0      0
CUBIST PHARMACEUTICAL INC                       229678107        2       300   SH        DEFINED              300        0      0
CUMMINS ENGINE INC                              231021106       98      4000   SH        DEFINED             4000        0      0
CYTEC INDUSTRIES INC                            232820100        0        10   SH        SOLE                  10        0      0
DNP SELECT INCOME FUND INC COM                  23325P104       21      2160   SH        DEFINED             2160        0      0
D R HORTON INC                                  23331A109        3       200   SH        DEFINED              200        0      0
DTE ENERGY CO               COM                 233331107       68      1775   SH        SOLE                1775        0      0
DTE ENERGY CO               COM                 233331107       17       454   SH        DEFINED              454        0      0
DARDEN RESTAURANTS                              237194105      203     11400   SH        SOLE               11400        0      0
DARDEN RESTAURANTS                              237194105      270     15190   SH        DEFINED            15190        0      0
DATATEC SYSTEMS INC                             238128102        0       500   SH        DEFINED              500        0      0
DECODE GENETICS INC                             243586104        1       619   SH        DEFINED              619        0      0






                                                        FORM 13F INFORMATION TABLE
                                                            VALUE    SHARES/  SH/  PUT/  INVSTMT   OTHER      VOTING AUTHORITY
        NAME OF ISSUER         TITLE OF CLASS     CUSIP    (X$1000)  PRN AMT  PRN  CALL  DSCRETN  MANAGERS  SOLE    SHARED   NONE
-----------------------------  ---------------  ---------  --------  -------  ---  ----  -------  --------  -----   ------   ----
                                                                                            
DEERE & COMPANY                                 244199105      145      3700   SH        DEFINED             3200        0    500
DEL MONTE FOODS CO                              24522P103        1       199   SH        SOLE                 199        0      0
DEL MONTE FOODS CO                              24522P103        3       454   SH        DEFINED              454        0      0
DELL COMPUTER CORP                              247025109      966     35396   SH        SOLE               34546        0    850
DELL COMPUTER CORP                              247025109      630     23105   SH        DEFINED            21705     1000    400
DELPHI CORPORATION          CORP                247126105        0       116   SH        SOLE                 116        0      0
DELPHI CORPORATION          CORP                247126105        3       523   SH        DEFINED              523        0      0
DELTIC TIMBER CORP                              247850100      119      5000   SH        DEFINED             5000        0      0
DELUXE CORP                 COM                 248019101        4       100   SH        DEFINED              100        0      0
DEPOMED INC                                     249908104        4      2000   SH        SOLE                2000        0      0
DEVELOPERS DIVERSIFIED                          251591103        0        29   SH        DEFINED               29        0      0
DEVON ENERGY CORPORATION NEW COM                25179M103        0        20   SH        SOLE                  20        0      0
DEVON ENERGY CORPORATION NEW COM                25179M103       14       300   SH        DEFINED              300        0      0
DIAMONDS TRUST SER I                            252787106       23       300   SH        DEFINED              300        0      0
DIEBOLD INC                                     253651103       33      1000   SH        SOLE                1000        0      0
DISNEY WALT CO              COM DISNEY          254687106      169      9942   SH        SOLE                9942        0      0
DISNEY WALT CO              COM DISNEY          254687106      198     11691   SH        DEFINED             9668     2023      0
DOMINION RES INC                                25746U109       29       533   SH        SOLE                 533        0      0
DOMINION RES INC                                25746U109      410      7417   SH        DEFINED             6521      896      0
DONALDSON INC                                   257651109       84      2300   SH        SOLE                2300        0      0
DONALDSON INC                                   257651109       62      1700   SH        DEFINED             1700        0      0
DOVER CORPORATION                               260003108       76      3150   SH        SOLE                3150        0      0
DOW CHEM CO                 COM                 260543103      260      9444   SH        SOLE                9444        0      0
DOW CHEM CO                 COM                 260543103      282     10222   SH        DEFINED             7822      600   1800
DU PONT E I DE NEMOURS & CO COM                 263534109      833     21457   SH        SOLE               20257        0   1200
DU PONT E I DE NEMOURS & CO COM                 263534109      905     23290   SH        DEFINED            22090        0   1200
DUKE ENERGY CORP            COM                 264399106      227     15664   SH        SOLE               15664        0      0
DUKE ENERGY CORP            COM                 264399106      214     14777   SH        DEFINED            14233      544      0
DYAX CORPORATION                                26746E103        2      1500   SH        SOLE                1500        0      0
E M C CORPORATION                               268648102       52      7250   SH        SOLE                7250        0      0
E M C CORPORATION                               268648102       51      7060   SH        DEFINED             7060        0      0
EMS TECHNOLOGIES INC                            26873N108        4       300   SH        DEFINED              300        0      0
EOG RES INC                                     26875P101       98      2500   SH        DEFINED             2500        0      0






                                                       FORM 13F INFORMATION TABLE
                                                            VALUE    SHARES/  SH/  PUT/  INVSTMT   OTHER        VOTING AUTHORITY
        NAME OF ISSUER         TITLE OF CLASS    CUSIP     (X$1000)  PRN AMT  PRN  CALL  DSCRETN  MANAGERS    SOLE   SHARED  NONE
---------------------------    --------------  ---------  ---------  -------  ---  ----  -------  --------   ------  ------  -----
                                                                                            
E*TRADE GROUP                                  269246104         3       800  SH         DEFINED                800       0      0
EASTMAN CHEMICAL COMPANY                       277432100         2       100  SH         DEFINED                100       0      0
EASTMAN KODAK CO            COM                277461109        10       351  SH         SOLE                   351       0      0
EASTMAN KODAK CO            COM                277461109        19       650  SH         DEFINED                150       0    500
EATON VANCE CORP                               278265103        13       500  SH         SOLE                   500       0      0
EATON VANCE INSD MUNICIPAL BOND FUND           27827X101         4       350             DEFINED                350       0      0
EBAY INC                                       278642103        85      1000  SH         DEFINED                  0       0   1000
EDISON SCHOOLS INC                             281033100         1      1800  SH         DEFINED               1800       0      0
EL PASO CORPORATION                            28336L109         0        75  SH         SOLE                    75       0      0
EL PASO CORPORATION                            28336L109         4       666  SH         DEFINED                666       0      0
EL PASO ENERGY PARTNERS L P COM                28368B102         4       150  SH         DEFINED                150       0      0
ELECTRONIC DATA SYSTEMS CORP                   285661104        26      1487  SH         SOLE                  1487       0      0
ELECTRONIC DATA SYSTEMS CORP                   285661104         7       400  SH         DEFINED                300     100      0
EMERSON ELEC CO             COM                291011104       170      3750  SH         SOLE                  3750       0      0
EMERSON ELEC CO             COM                291011104       435      9608  SH         DEFINED               9608       0      0
ENBRIDGE ENERGY PARTNERS L P                   29250R106        68      1500  SH         SOLE                  1500       0      0
ENBRIDGE ENERGY PARTNERS L P                   29250R106       171      3750  SH         DEFINED               3350     400      0
ENERGEN CORP                COM                29265N108        38      1200  SH         DEFINED               1200       0      0
ENERGY EAST CORP            COM                29266M109       115      6478  SH         DEFINED               6478       0      0
ENGELHARD CORP              COM                292845104        59      2802  SH         DEFINED               2802       0      0
ENTERGY CORP NEW            COM                29364G103       120      2500  SH         DEFINED               2500       0      0
ENTREMED INC                COM                29382F103         1      1200  SH         DEFINED                900       0    300
EQUIFAX, INC.                                  294429105        12       650  SH         DEFINED                650       0      0
EQUITABLE RESOURCES                            294549100        37      1000  SH         DEFINED               1000       0      0
EQUITY INCOME FUND EXCHANGE SER.AT&T SHS 1ST   294700703        39       576  SH         DEFINED                576       0      0
EQUITY OFFICE PPTYS TR      COM                294741103        76      3000  SH         DEFINED               3000       0      0
EQUITY RESIDENTIAL SBI                         29476L107        30      1250  SH         SOLE                  1250       0      0
EQUITY RESIDENTIAL SBI                         29476L107         4       200  SH         DEFINED                200       0      0
ERICSSON TELEPHONE CO ADR                      294821608         6      1024  SH         DEFINED               1024       0      0
ETHYL CORP                                     297659609         3       320  SH         SOLE                   320       0      0
EXELON CORP COM                                30161N101         7       154  SH         SOLE                   154       0      0
EXELON CORP COM                                30161N101        29       594  SH         DEFINED                594       0      0
EXXON MOBIL CORP            COM                30231G102      4308    123289  SH         SOLE                120289       0   3000
EXXON MOBIL CORP            COM                30231G102     10034    287114  SH         DEFINED             258418   17112  11584







                                                           FORM 13F INFORMATION TABLE
                                                               VALUE    SHARES/  SH/  PUT/  INVSTMT   OTHER      VOTING AUTHORITY
        NAME OF ISSUER         TITLE OF CLASS       CUSIP     (X$1000)  PRN AMT  PRN  CALL  DSCRETN  MANAGERS   SOLE   SHARED  NONE
-----------------------------  ---------------  ------------  --------  -------  ---  ----  -------  --------  ------  ------  -----
                                                                                              
FPL GROUP INC               COM                    302571104      297     5050   SH         SOLE                 5050      0      0
FPL GROUP INC               COM                    302571104      530     9000   SH         DEFINED              9000      0      0
FEDERAL HOME LOAN MORTGAGE  CORPORATION COMMON     313400301       83     1575   SH         SOLE                 1575      0      0
FEDERAL NATL MTG ASSN (D/B/A FANNIE MAE)        COM313586109      687    10525   SH         SOLE                10525      0      0
FEDERAL NATL MTG ASSN (D/B/A FANNIE MAE)        COM313586109      329     5040   SH         DEFINED              3090   1950      0
FEDERAL REALTY INVESTMENT TRUST                    313747206       12      423   SH         DEFINED               423      0      0
FEDERAL SIGNAL CORPORATION                         313855108       18     1300   SH         DEFINED              1300      0      0
FEDEX CORPORATION                                  31428X106       27      500   SH         DEFINED               500      0      0
FIFTH THIRD BANCORP         COM                    316773100        7      150   SH         DEFINED               150      0      0
FIRST DATA CORPORATION                             319963104      704    19028   SH         SOLE                19028      0      0
FIRST DATA CORPORATION                             319963104       59     1600   SH         DEFINED              1100    500      0
FIRST SENTINEL BANCORP INC.                        33640T103       10      752   SH         DEFINED                 0      0    752
FIRST VIRGINIA BANK INC                            337477103       14      375   SH         SOLE                  375      0      0
FIRSTENERGY CORP            COM                    337932107       22      700   SH         DEFINED               700      0      0
FLEETBOSTON FINANCIAL CORP  COM                    339030108     1044    43776   SH         DEFINED             43676    100      0
FLOWER FOODS INC                                   343498101       20      750   SH         DEFINED               750      0      0
FORD MOTOR CO DEL                                  345370860        1      200   SH         SOLE                  200      0      0
FORD MOTOR CO DEL                                  345370860       57     7591   SH         DEFINED              6543   1048      0
FOREST LABORATORIES INC                            345838106      102     1900   SH         SOLE                 1900      0      0
FOREST LABORATORIES INC                            345838106       80     1500   SH         DEFINED              1500      0      0
FORTUNE BRANDS INC          COM                    349631101      120     2808   SH         SOLE                 2808      0      0
FORTUNE BRANDS INC          COM                    349631101       77     1800   SH         DEFINED               900    900      0
FRANKLIN RESOURCES INC                             354613101       49     1500   SH         SOLE                 1500      0      0
GABLES RESIDENTIAL TRUST                           362418105       26     1000   SH         DEFINED              1000      0      0
GALLAHER GROUP PLC SPONSORED ADR                   363595109       35      928   SH         SOLE                  928      0      0
GALLAHER GROUP PLC SPONSORED ADR                   363595109       89     2337   SH         DEFINED              2337      0      0
GAP INC                                            364760108        2      150   SH         SOLE                  150      0      0
GENENTECH INC                                      368710406      117     3350   SH         SOLE                 3350      0      0
GENENTECH INC                                      368710406      296     8475   SH         DEFINED              8175      0    300
GENERAL DYNAMICS CORP                              369550108       24      450   SH         SOLE                  450      0      0
GENERAL ELEC CO             COM                    369604103     5020   196869   SH         SOLE               193919      0   2950
GENERAL ELEC CO             COM                    369604103     7932   311089   SH         DEFINED            280955  26934   3200
GENERAL MAGIC INC.                                 370253403        0       71   SH         DEFINED                71      0      0






                                                       FORM 13F INFORMATION TABLE
                                                            VALUE    SHARES/  SH/  PUT/  INVSTMT   OTHER       VOTING AUTHORITY
        NAME OF ISSUER         TITLE OF CLASS    CUSIP     (X$1000)  PRN AMT  PRN  CALL  DSCRETN  MANAGERS   SOLE   SHARED  NONE
-----------------------------  --------------  ---------  ---------  -------  ---  ----  -------  --------  ------  ------  ----
                                                                                           
GENERAL MILLS, INC                             370334104        6       150   SH         SOLE                  150      0      0
GENERAL MILLS, INC                             370334104       18       400   SH         DEFINED               400      0      0
GENERAL MTRS CORP           COM                370442105      464     13832   SH         SOLE                12082      0   1750
GENERAL MTRS CORP           COM                370442105      437     13011   SH         DEFINED             11761   1250      0
GENERAL MOTORS CLASS H      NEW                370442832       17      1566   SH         SOLE                 1566      0      0
GENERAL MOTORS CLASS H      NEW                370442832      152     13608   SH         DEFINED             13608      0      0
GEORGIA PAC CORP            COM GA PAC GRP     373298108      116      8393   SH         DEFINED              8393      0      0
GILLETTE COMPANY                               375766102      239      7733   SH         SOLE                 7733      0      0
GILLETTE COMPANY                               375766102       71      2300   SH         DEFINED              2300      0      0
GLAXO SMITHKLINE PLC SPONSORED ADR             37733W105      213      6062   SH         SOLE                 6062      0      0
GLAXO SMITHKLINE PLC SPONSORED ADR             37733W105      183      5212   SH         DEFINED              5212      0      0
GOLDMAN SACHS GROUP                            38141G104      197      2900   SH         SOLE                 2900      0      0
GOLDMAN SACHS GROUP                            38141G104      335      4935   SH         DEFINED              4935      0      0
GUIDANT CORP                COM                401698105       21       600   SH         DEFINED               600      0      0
HRPT PPTYS TR COMM SH BEN INT                  40426W101        8      1000   SH         DEFINED              1000      0      0
HAIN CELESTIAL GROUP INC                       405217100        9       650   SH         DEFINED               650      0      0
HALLIBURTON CO              COM                406216101       18       896   SH         SOLE                  896      0      0
HALLIBURTON CO              COM                406216101      200      9682   SH         DEFINED              9682      0      0
JOHN HANCOCK INCOME         SECURITIES TRUST   410123103        4       267   SH         DEFINED               267      0      0
JOHN HANCOCK PATRIOT PREMIUM DIV FD I COM      41013Q101       16      1834   SH         DEFINED              1834      0      0
HANCOCK JOHN PATRIOT PREMIUM DIVIDEND FUND II  41013T105       11      1100   SH         DEFINED              1100      0      0
JOHN HANCOCK FINANCIAL      SERVICES,INC.      41014S106       28      1014   SH         DEFINED              1014      0      0
HANDSPRING INC                                 410293104        0       200   SH         SOLE                  200      0      0
HARBOR FLA BANCSHARES                          411901101       11       502   SH         DEFINED               502      0      0
HARLEY DAVIDSON                                412822108       11       300   SH         SOLE                  300      0      0
HARLEY DAVIDSON                                412822108      174      4400   SH         DEFINED              4400      0      0
HARMONY GOLD MINING ADR                        413216300       12      1000   SH         DEFINED                 0   1000      0
HARTFORD FINL SVCS GROUP INC COM               416515104       80      2287   SH         SOLE                 2287      0      0
HARTFORD FINL SVCS GROUP INC COM               416515104       46      1312   SH         DEFINED              1312      0      0
H.J. HEINZ COMPANY                             423074103       13       450   SH         SOLE                  450      0      0
H.J. HEINZ COMPANY                             423074103       32      1100   SH         DEFINED              1100      0      0
HERSHEY FOODS CORP          COM                427866108      187      3000   SH         DEFINED              2400      0    600
HEWLETT PACKARD CO          COM                428236103       44      2877   SH         SOLE                 2877      0      0
HEWLETT PACKARD CO          COM                428236103      382     24588   SH         DEFINED             21388   2000   1200






                                                       FORM 13F INFORMATION TABLE
                                                            VALUE    SHARES/  SH/  PUT/  INVSTMT   OTHER      VOTING AUTHORITY
        NAME OF ISSUER         TITLE OF CLASS    CUSIP     (X$1000)  PRN AMT  PRN  CALL  DSCRETN  MANAGERS   SOLE   SHARED  NONE
-----------------------------  --------------  ---------  ---------  -------  ---  ----  -------  --------  ------  ------  ----
                                                                                           
HIBERNIA CORP                                  428656102        5      300    SH         SOLE                 300       0      0
HOME DEPOT, INC                                437076102     1196    49125    SH         SOLE               46425       0   2700
HOME DEPOT, INC                                437076102     1639    67321    SH         DEFINED            65321     850   1150
HOME PROPERTIES OF NEW YORK INC                437306103        6      200    SH         DEFINED              200       0      0
HONEYWELL INTERNATIONAL INC COM                438516106      106     4998    SH         SOLE                4998       0      0
HONEYWELL INTERNATIONAL INC COM                438516106      116     5458    SH         DEFINED             5458       0      0
HOST MARRIOTT CORPORATION                      44107P104       21     3074    SH         DEFINED             3074       0      0
HOUSEHOLD INTL INC          COM                441815107       10      386    SH         SOLE                 386       0      0
HOUSEHOLD INTL INC          COM                441815107       42     1500    SH         DEFINED             1500       0      0
HUDSON CITY BANCORP                            443683107       44     2200    SH         DEFINED             2200       0      0
HUNTINGTON BANCSHARES INC                      446150104       50     2722    SH         DEFINED             2722       0      0
HYPERION TOTAL RETURN FUND INC                 449145101       31     3150    SH         SOLE                3150       0      0
IMS HEALTH INCORPORATED                        449934108       41     2632    SH         DEFINED             2632       0      0
ITT INDUSTRIES INC          COM                450911102       36      682    SH         SOLE                 682       0      0
ITT INDUSTRIES INC          COM                450911102       29      556    SH         DEFINED              556       0      0
ICON PUB LTD CO                                45103T107       23     1000    SH         DEFINED             1000       0      0
IDACORP INC                 COM                451107106        6      300    SH         SOLE                 300       0      0
IDACORP INC                 COM                451107106       91     4000    SH         DEFINED             4000       0      0
ILLINOIS TOOL WORKS INC     COM                452308109       26      463    SH         DEFINED              361     102      0
IMAGISTICS INTERNATIONAL IN C                  45247T104        0       32    SH         SOLE                  32       0      0
IMAGISTICS INTERNATIONAL IN C                  45247T104       10      588    SH         DEFINED              588       0      0
INDYMAC BANCORP INC                            456607100       19     1000    SH         DEFINED             1000       0      0
INNKEEPERS USA TRUST                           4576J0104       13     2000    SH         DEFINED             2000       0      0
INTEL CORP                  COM                458140100      665    40930    SH         SOLE               39530       0   1400
INTEL CORP                  COM                458140100      994    61099    SH         DEFINED            58999    2100      0
INTERMEDIATE MUNICIPAL FUND INC                45880P104       18     2000               DEFINED             2000       0      0
INTL BUSINESS MACHINE CORP  COMMON             459200101     2105    26852    SH         SOLE               25652       0   1200
INTL BUSINESS MACHINE CORP  COMMON             459200101     4714    60109    SH         DEFINED            57509    1000   1600
INTL PAPER CO               COM                460146103      138     4097    SH         DEFINED             4097       0      0
INTERNET HOLDERS TRUST                         46059W102        2      100    SH         SOLE                 100       0      0
INTEVAC INC                                    461148108       14     3300    SH         DEFINED                0    3300      0
INTUIT                                         461202103        3      100    SH         DEFINED              100       0      0
INVITROGEN CORP                                46185R100       20      683    SH         DEFINED              683       0      0






                                                       FORM 13F INFORMATION TABLE
                                                            VALUE    SHARES/  SH/  PUT/  INVSTMT   OTHER       VOTING AUTHORITY
        NAME OF ISSUER         TITLE OF CLASS    CUSIP     (X$1000)  PRN AMT  PRN  CALL  DSCRETN  MANAGERS   SOLE   SHARED  NONE
-----------------------------  --------------  ---------  ---------  -------  ---  ----  -------  --------  ------  ------  ----
                                                                                           
IVAX CORP                                      465823102        2       187   SH         DEFINED               187      0      0
JDS UNIPHASE CORPORATION                       46612J101        0       200   SH         SOLE                  200      0      0
JDS UNIPHASE CORPORATION                       46612J101        1       400   SH         DEFINED               400      0      0
J P MORGAN CHASE & CO                          46625H100       93      3950   SH         SOLE                 3950      0      0
J P MORGAN CHASE & CO                          46625H100     1179     49751   SH         DEFINED             44397   1480   3874
JABIL CIRCUIT INC                              466313103        2       150   SH         SOLE                  150      0      0
JABIL CIRCUIT INC                              466313103        4       250   SH         DEFINED               250      0      0
JEFFERSON PILOT CORPORATION                    475070108       26       683   SH         SOLE                  683      0      0
JEFFERSON PILOT CORPORATION                    475070108       39      1035   SH         DEFINED              1035      0      0
JETBLUE AIRWAYS                                477143101        5       200   SH         DEFINED               200      0      0
JOHNSON & JOHNSON           COM                478160104     3655     63176   SH         SOLE                61576      0   1600
JOHNSON & JOHNSON           COM                478160104     7877    136142   SH         DEFINED            127792   5800   2550
JUNIPER NETWORKS                               48203R104        0       100   SH         SOLE                  100      0      0
KADANT INC                                     48282T104        9       558   SH         DEFINED               558      0      0
KANEB PIPE LINE PARTNERS LP                    484169107      178      4850   SH         DEFINED              4850      0      0
KELLOGG COMPANY                                487836108       48      1575   SH         SOLE                 1575      0      0
KERR MCGEE CORP                                492386107        0        18   SH         DEFINED                18      0      0
KEYCORP                                        493267108        9       400   SH         SOLE                  400      0      0
KEYSPAN CORP                COM                49337W100       43      1341   SH         DEFINED              1341      0      0
KEYSTONE PROPERTY TRUST MD                     493596100       27      1600   SH         DEFINED              1600      0      0
KIMBERLY-CLARK CORPORATION                     494368103      597     13150   SH         SOLE                12150      0   1000
KIMBERLY-CLARK CORPORATION                     494368103      540     11885   SH         DEFINED             11185    500    200
KIMCO REALITY CORPORATION                      49446R109       47      1350   SH         DEFINED                 0   1350      0
KINDER MORGAN ENERGY PARTNERS L P              494550106      196      5300   SH         DEFINED              5300      0      0
KNIGHT-RIDDER INC                              499040103     1143     19550   SH         SOLE                18100      0   1450
KNIGHT-RIDDER INC                              499040103      775     13250   SH         DEFINED             11325   1050    875
KONINKLIJKE PHILIPS ELECTRS N V SP ADR         500472303        4       291   SH         DEFINED               291      0      0
KRAFT FOODS INC                                50075N104       56      2005   SH         SOLE                 2005      0      0
KRAFT FOODS INC                                50075N104       31      1100   SH         DEFINED              1100      0      0
KRAMONT REALTY TRUST COM                       50075Q107       12       800   SH         DEFINED               800      0      0
KRISPY KREME DOUGHNUTS                         501014104        6       200   SH         DEFINED               200      0      0
KROGER COMPANY              COM                501044101      215     16355   SH         SOLE                16355      0      0
KROGER COMPANY              COM                501044101      202     15400   SH         DEFINED             15400      0      0






                                                        FORM 13F INFORMATION TABLE
                                                             VALUE    SHARES/  SH/  PUT/  INVSTMT   OTHER      VOTING AUTHORITY
        NAME OF ISSUER         TITLE OF CLASS     CUSIP     (X$1000)  PRN AMT  PRN  CALL  DSCRETN  MANAGERS   SOLE   SHARED  NONE
-----------------------------  ---------------  ---------  ---------  -------  ---  ----  -------  --------  ------  ------  ----
                                                                                            
L-3 COMMUNICATIONS HLDGS INC                    502424104      890    22180    SH         SOLE               22080       0    100
L-3 COMMUNICATIONS HLDGS INC                    502424104      676    16850    SH         DEFINED            14775    1050   1025
LA-Z-BOY INC                                    505336107       32     1900    SH         SOLE                1900       0      0
LA-Z-BOY INC                                    505336107       48     2800    SH         DEFINED             2300       0    500
LEHMAN BROTHERS HOLDINGS INC                    524908100        5      100    SH         SOLE                 100       0      0
LENDING TREE INC                                52602Q105        2      250    SH         SOLE                 250       0      0
LENNAR CORP                                     526057104       53     1000    SH         DEFINED             1000       0      0
LILLY ELI & CO              COM                 532457108      104     1837    SH         SOLE                1837       0      0
LILLY ELI & CO              COM                 532457108      651    11396    SH         DEFINED            10996       0    400
LOCKHEED MARTIN CORP                            539830109      445     9368    SH         SOLE                9368       0      0
LOCKHEED MARTIN CORP                            539830109       83     1750    SH         DEFINED             1750       0      0
LOWES COMPANIES INC                             548661107      344     8433    SH         SOLE                8433       0      0
LOWES COMPANIES INC                             548661107      197     4850    SH         DEFINED             4850       0      0
LUBRIZOL CORP               COM                 549271104       60     2000    SH         DEFINED             2000       0      0
LUCENT TECHNOLOGY INC                           549463107       18    12303    SH         SOLE               12303       0      0
LUCENT TECHNOLOGY INC                           549463107       74    50653    SH         DEFINED            46537    1116   3000
MBIA, INC                                       55262C100      711    18425    SH         SOLE               18025       0    400
MBIA, INC                                       55262C100      228     5925    SH         DEFINED             4725       0   1200
MBNA CORPORATION                                55262L100        0       48    SH         SOLE                  48       0      0
MBNA CORPORATION                                55262L100       37     2491    SH         DEFINED             2491       0      0
MFS CHARTER INCOME TRUST                        552727109       12     1500    SH         DEFINED             1500       0      0
MACK-CALI REALTY CORP                           554489104       12      400    SH         SOLE                 400       0      0
SMITH BARNEY MANAGED MUNICIPALS PORTFOLIO,INC.  561662107       21     2000               DEFINED             2000       0      0
MANUGISTICS GROUP                               565011103        0      200    SH         DEFINED              200       0      0
MARATHON OIL CORP                               565849106       28     1200    SH         DEFINED             1200       0      0
MARSHALL & ILSLEY CORP                          571834100      480    18800    SH         SOLE               18100       0    700
MARSHALL & ILSLEY CORP                          571834100      297    11625    SH         DEFINED            11225       0    400
MCCLATCHY COMPANY                               579489105      337     6300    SH         SOLE                6300       0      0
MCCLATCHY COMPANY                               579489105      238     4450    SH         DEFINED             4450       0      0
MCCORMICK & CO INC COMMON NON-VOTING            579780206      531    22030    SH         SOLE               21930       0    100
MCCORMICK & CO INC COMMON NON-VOTING            579780206      486    20150    SH         DEFINED            19350     200    600
MCDONALDS CORP              COM                 580135101      108     7500    SH         SOLE                7500       0      0
MCDONALDS CORP              COM                 580135101       43     3000    SH         DEFINED             3000       0      0






                                                        FORM 13F INFORMATION TABLE
                                                             VALUE    SHARES/  SH/  PUT/  INVSTMT   OTHER      VOTING AUTHORITY
        NAME OF ISSUER         TITLE OF CLASS     CUSIP     (X$1000)  PRN AMT  PRN  CALL  DSCRETN  MANAGERS   SOLE   SHARED  NONE
-----------------------------  ---------------  ---------  ---------  -------  ---  ----  -------  --------  ------  ------  ----
                                                                                            
MCGRAW HILL COMPANIES INC                       580645109      351     6320    SH         SOLE                 6320      0      0
MCGRAW HILL COMPANIES INC                       580645109       93     1680    SH         DEFINED              1680      0      0
MCKESSON CORPORATION                            58155Q103        3      148    SH         DEFINED               148      0      0
MEADWESTVACO CORP                               583334107       84     3700    SH         DEFINED              3700      0      0
MEDAREX INC                                     583916101        1      400    SH         DEFINED               400      0      0
MEDTRONIC INC                                   585055106       22      500    SH         SOLE                  100      0    400
MEDTRONIC INC                                   585055106      204     4540    SH         DEFINED              4540      0      0
MELLON FINANCIAL CORP       COM                 58551A108       21     1000    SH         DEFINED              1000      0      0
MERCANTILE BANKSHARES CORP COM                  587405101       13      400    SH         DEFINED               400      0      0
MERCK & CO INC              COM                 589331107     1640    29950    SH         SOLE                28950      0   1000
MERCK & CO INC              COM                 589331107     4345    79350    SH         DEFINED             77150   1500    700
MERCURY INTERACTIVE CORP                        589405109        8      300    SH         DEFINED               300      0      0
MERRILL LYNCH & CO INC                          590188108        1       50    SH         SOLE                   50      0      0
MERRILL LYNCH & CO INC                          590188108       92     2600    SH         DEFINED              2600      0      0
METLIFE INC                                     59156R108       79     3000    SH         DEFINED              3000      0      0
MICROSOFT CORP                                  594918104     1743    72050    SH         SOLE                68650      0   3400
MICROSOFT CORP                                  594918104     1694    70028    SH         DEFINED             65578   2500   1950
MIDDLESEX WATER CO          COM                 596680108       76     3451    SH         SOLE                 3451      0      0
MIDDLESEX WATER CO          COM                 596680108       66     3000    SH         DEFINED              3000      0      0
MIDWAY GAMES INC                                598148104        3     1000    SH         DEFINED              1000      0      0
MILLENNIUM PHARMACEUTICALS                      599902103        2      296    SH         DEFINED               296      0      0
MIPS TECHNOLOGIES INC                           604567206        0       27    SH         DEFINED                27      0      0
MIRANT CORP                                     604675108        0      318    SH         SOLE                  318      0      0
MIRANT CORP                                     604675108        4     2923    SH         DEFINED              2923      0      0
ROBERT MONDAVI                                  609200100        2      100    SH         SOLE                  100      0      0
MONSANTO CO NEW                                 61166W101        0       12    SH         SOLE                   12      0      0
MONSANTO CO NEW                                 61166W101       15      956    SH         DEFINED               956      0      0
MORGAN STANLEY DEAN WITTER & CO                 617446448       63     1650    SH         SOLE                 1650      0      0
MORGAN STANLEY DEAN WITTER & CO                 617446448      136     3566    SH         DEFINED              3484     82      0
MOTOROLA,INC                                    620076109        4      500    SH         SOLE                  500      0      0
MOTOROLA,INC                                    620076109      112    13656    SH         DEFINED             10956    300   2400
MUNIYIELD NJ INSURED FUND   INC. COMMON         625921101       45     2915               SOLE                 2915      0      0
MUNIHOLDING NY INSD FUND INC                    625931100       17     1253    SH         DEFINED              1253      0      0






                                                       FORM 13F INFORMATION TABLE
                                                           VALUE    SHARES/  SH/  PUT/  INVSTMT   OTHER      VOTING AUTHORITY
        NAME OF ISSUER         TITLE OF CLASS    CUSIP    (X$1000)  PRN AMT  PRN  CALL  DSCRETN  MANAGERS  SOLE    SHARED  NONE
-----------------------------  --------------  ---------  --------  -------  ---  ----  -------  --------  -----  -------  ----
                                                                                          
MUNIHOLDINGS NEW JERSEY INS D FUND INC         625936109      50       3509             SOLE                3509      0       0
MUNIHOLDINGS NEW JERSEY INS D FUND INC         625936109      11        778             DEFINED              778      0       0
MUNIYIELD INSD FUND INC                        62630E107      13        950             DEFINED              950      0       0
MURPHY OIL CORPORATION                         626717102      88       2000  SH         DEFINED             2000      0       0
MYLAN LABORATORUES INC                         628530107      28       1000  SH         DEFINED             1000      0       0
NCE PETRO FUND I TR UNIT                       62885E406       7       1000  SH         SOLE                1000      0       0
NCR CORP                    NEW                62886E108       5        297  SH         DEFINED              297      0       0
NL INDS INC                 COM NEW            629156407       3        220  SH         SOLE                 220      0       0
NUI HOLDING CORP                               629431107       7        500  SH         DEFINED              500      0       0
NASDAQ 100 TRUST UNIT SER 1                    631100104       2        100  SH         DEFINED              100      0       0
NATIONAL CITY CORP                             635405103      33       1200  SH         DEFINED                0   1200       0
NATIONAL FUEL GAS CO N J    COM                636180101      74       3392  SH         DEFINED             3392      0       0
NATIONWIDE FINANCIAL SERVIC ES CLASS A         638612101       2        112  SH         DEFINED              112      0       0
NAUTILUS GROUP INC                             63910B102      14       1000  SH         DEFINED             1000      0       0
NEORX CORPORATION                              640520300       0         50  SH         DEFINED               50      0       0
NEUROGEN CORP                                  64124E106       3       1000  SH         DEFINED             1000      0       0
NEW JERSEY RESOURCES CORPORATION               646025106      39       1200  SH         SOLE                1200      0       0
NEW PLAN EXCEL RLTY TR INC  COM                648053106      29       1500  SH         DEFINED              400   1100       0
NEWMONT MINING CORP                            651639106       2         79  SH         SOLE                  79      0       0
NISOURCE INC                COM                65473P105       9        500  SH         SOLE                 500      0       0
NISOURCE INC                COM                65473P105      78       4300  SH         DEFINED             4300      0       0
NOKIA CORPORATION  ADR                         654902204     140      10030  SH         SOLE               10030      0       0
NOKIA CORPORATION  ADR                         654902204      60       4350  SH         DEFINED             3750      0     600
NORAM ENERGY CORP SUB DEB   CONV 6% 3/15/12    655419AC3      18      25000  PRN        DEFINED            25000      0       0
NORFOLK SOUTHERN CORP       COM                655844108     114       6159  SH         SOLE                6159      0       0
NORFOLK SOUTHERN CORP       COM                655844108      93       5060  SH         DEFINED             4700    360       0
NORSK HYDRO ADR                                656531605      84       2222  SH         DEFINED             2222      0       0
NORTEL NETWORKS CORP NEW                       656568102       0        100  SH         SOLE                 100      0       0
NORTEL NETWORKS CORP NEW                       656568102       2       1100  SH         DEFINED              100      0    1000
NORTHERN BORDER PARTNERS L P UNIT LTD PARTN    664785102      48       1275  SH         SOLE                1275      0       0
NORTHERN BORDER PARTNERS L P UNIT LTD PARTN    664785102     290       7600  SH         DEFINED             7600      0       0
NORTHERN TRUST CORP                            665859104     152       5000  SH         SOLE                5000      0       0
NORTHERN TRUST CORP                            665859104      12        400  SH         DEFINED              400      0       0






                                                  FORM 13F INFORMATION TABLE
                                                           VALUE    SHARES/  SH/  PUT/  INVSTMT   OTHER      VOTING AUTHORITY
        NAME OF ISSUER         TITLE OF CLASS    CUSIP    (X$1000)  PRN AMT  PRN  CALL  DSCRETN  MANAGERS  SOLE    SHARED  NONE
-----------------------------  --------------  ---------  --------  -------  ---  ----  -------  --------  -----  -------  ----
                                                                                          
NORTHROP GRUMMAN CORP                          666807102     17        200   SH         SOLE                 200      0       0
NORTHROP GRUMMAN CORP                          666807102    121       1414   SH         DEFINED             1414      0       0
NORTHWESTERN CORPORATION                       668074107     17       8300   SH         SOLE                8300      0       0
NOVARTIS AG ADRS                               66987V109     18        500   SH         DEFINED              500      0       0
NOVELL INC                                     670006105     21      10000   SH         DEFINED            10000      0       0
NSTAR                       COM                67019E107     16        405   SH         SOLE                 405      0       0
NSTAR                       COM                67019E107     33        840   SH         DEFINED              840      0       0
NUVEEN PERFORMANCE PLUS     MUNICIPAL FUND     67062P108     21       1500              SOLE                1500      0       0
NUVEEN QUALITY PFD INCOME FUND II              67072C105      6        400   SH         DEFINED              400      0       0
OGE ENERGY CO.                                 670837103      7        400   SH         DEFINED              400      0       0
NUVEEN NJ INVT QUALITY MUN  FUND          COM  670971100    156      10174              SOLE               10174      0       0
NUVEEN NJ INVT QUALITY MUN  FUND          COM  670971100    107       6974              DEFINED             6974      0       0
NUVEEN INSD MUNICIPAL OPPORTUNITY FUND INC     670984103     89       5670              SOLE                5670      0       0
NUVEEN INSD MUNICIPAL OPPORTUNITY FUND INC     670984103     50       3200              DEFINED             3200      0       0
NUVEEN PREMIER INSURED MUNICIPAL INCOME FUND   670987106     26       1650              DEFINED             1650      0       0
ONEOK INC NEW               COM                682680103     73       4000   SH         DEFINED             4000      0       0
OPENWAVE SYS INC COM                           683718100      0        300   SH         DEFINED              300      0       0
ORACLE CORPORATION                             68389X105     80       7400   SH         SOLE                7400      0       0
ORACLE CORPORATION                             68389X105    223      20620   SH         DEFINED            17020      0    3600
OPPENHEIMER MULTI-SECTOR INCOME FUND           683933105     13       1700   SH         SOLE                1700      0       0
PG&E CORP                   COM                69331C108      5        404   SH         SOLE                 404      0       0
PG&E CORP                   COM                69331C108      5        400   SH         DEFINED              400      0       0
PNC FINANCIAL SERVICES GROUP              COM  693475105    279       6603   SH         SOLE                6603      0       0
PNC FINANCIAL SERVICES GROUP              COM  693475105     49       1175   SH         DEFINED             1175      0       0
PPG INDS INC                COM                693506107      9        200   SH         SOLE                 200      0       0
PPL CORP                                       69351T106      7        200   SH         SOLE                 200      0       0
PPL CORP                                       69351T106     42       1200   SH         DEFINED             1000    200       0
PACCAR INC                  COM                693718108     41        825   SH         DEFINED              825      0       0
PACIFIC ENERGY PARTNERS LP                     69422R105    118       5650   SH         DEFINED             5650      0       0
PACTIV CORP                 COM                695257105      2        100   SH         SOLE                 100      0       0
PALM INC                                       696642206      0        100   SH         DEFINED              100      0       0
PARAGON TECHNOLOGIES INC                       69912T108      8       1000   SH         SOLE                1000      0       0
PARAGON TECHNOLOGIES INC                       69912T108     21       2500   SH         DEFINED             2500      0       0






                                                       FORM 13F INFORMATION TABLE
                                                           VALUE    SHARES/  SH/  PUT/  INVSTMT   OTHER      VOTING AUTHORITY
        NAME OF ISSUER         TITLE OF CLASS    CUSIP    (X$1000)  PRN AMT  PRN  CALL  DSCRETN  MANAGERS   SOLE    SHARED  NONE
-----------------------------  --------------  ---------  --------  -------  ---  ----  -------  --------  ------  -------  -----
                                                                                           
PARK PL ENTMT CORP          COM                700690100        7     1000   SH         DEFINED              1000       0       0
PAYCHEX INC                 COM                704326107       82     3000   SH         DEFINED              3000       0       0
PAYLESS SHOESOURCE,INC.                        704379106        3      200   SH         DEFINED               200       0       0
PEAPACK-GLADSTONE FINANCIAL CORPORATION        704699107     6981   278796   SH         SOLE               275160       0    3636
PEAPACK-GLADSTONE FINANCIAL CORPORATION        704699107    14717   587766   SH         DEFINED            571112   16654       0
PENN VA CORP                COM                707882106       18      480   SH         SOLE                  480       0       0
PENN VA RESOURCE PARTNERS LP                   707884102      137     5750   SH         DEFINED              5750       0       0
J.C.PENNEY CO.,INC.                            708160106      102     5200   SH         DEFINED              5000     200       0
PEOPLES ENERGY CORPORATION                     711030106       89     2500   SH         DEFINED              2500       0       0
PEPCO HOLDINGS INC COM                         713291102       12      703   SH         SOLE                  703       0       0
PEPCO HOLDINGS INC COM                         713291102       87     5023   SH         DEFINED              5023       0       0
PEPSICO INC                 COM                713448108      376     9400   SH         SOLE                 8800       0     600
PEPSICO INC                 COM                713448108      279     6991   SH         DEFINED              6991       0       0
PEREGRINE PHARMACEUTICALS INC                  713661106        0      100   SH         DEFINED               100       0       0
PERKINELMER INC             COM                714046109       41     4628   SH         DEFINED              4628       0       0
PFIZER INC                  COM                717081103     2106    67612   SH         SOLE                66212       0    1400
PFIZER INC                  COM                717081103     2534    81372   SH         DEFINED             76649    3373    1350
PHARMACIA CORP                                 71713U102      275     6375   SH         SOLE                 6375       0       0
PHARMACIA CORP                                 71713U102      297     6881   SH         DEFINED              6181       0     700
THE PHOENIX COMPANIES,INC.                     71902E109       31     4395   SH         SOLE                  966       0    3429
PIMCO STRATEGIC GLOBAL GOVERNMENT FUND COMMON  72200X104       35     3098   SH         DEFINED              3098       0       0
PITNEY BOWES INC            COM                724479100       12      400   SH         SOLE                  400       0       0
PITNEY BOWES INC            COM                724479100      202     6350   SH         DEFINED              6350       0       0
PLUM CREEK TIMBER CO INC    COM                729251108       35     1649   SH         DEFINED              1649       0       0
POTLATCH CORP               COM                737628107       58     3000   SH         DEFINED              3000       0       0
PROCTER & GAMBLE CO         COM                742718109     1629    18301   SH         SOLE                18001       0     300
PROCTER & GAMBLE CO         COM                742718109     2162    24282   SH         DEFINED             22217    1065    1000
PROGRESS ENERGY INC COM                        743263105        7      200   SH         SOLE                  200       0       0
PROLOGIS TRUST                                 743410102       50     2000   SH         DEFINED              2000       0       0
PRUDENTIAL FINANCIAL INC                       744320102      103     3549   SH         SOLE                 2811       0     738
PRUDENTIAL FINANCIAL INC                       744320102        2       72   SH         DEFINED                72       0       0
PUBLIC SERVICE ENTERPRISE   GROUP, INC.        744573106      478    13055   SH         SOLE                13055       0       0
PUBLIC SERVICE ENTERPRISE   GROUP, INC.        744573106      692    18867   SH         DEFINED             17367    1500       0






                                                  FORM 13F INFORMATION TABLE
                                                           VALUE    SHARES/  SH/  PUT/  INVSTMT   OTHER      VOTING AUTHORITY
        NAME OF ISSUER         TITLE OF CLASS    CUSIP    (X$1000)  PRN AMT  PRN  CALL  DSCRETN  MANAGERS   SOLE    SHARED  NONE
-----------------------------  --------------  ---------  --------  -------  ---  ----  -------  --------  ------  -------  ----
                                                                                           
PULTE HOMES INC                                745867101     25        500   SH         DEFINED              500       0       0
PUTNAM HIGH YIELD MUNICIPAL TRUST              746781103     34       5000   SH         DEFINED             5000       0       0
QLOGIC CORP                                    747277101      7        200   SH         SOLE                 200       0       0
QLOGIC CORP                                    747277101     29        800   SH         DEFINED              800       0       0
QUALCOMM INC                                   747525103     25        700   SH         SOLE                 700       0       0
QUALCOMM INC                                   747525103     48       1350   SH         DEFINED             1350       0       0
QUESTAR CORP                                   748356102     20        700   SH         DEFINED              700       0       0
QUIXOTE CORP                                   749056107     23       1500   SH         DEFINED             1500       0       0
QWEST COMMUNICATIONS INT'L                     749121109      4       1360   SH         SOLE                1360       0       0
QWEST COMMUNICATIONS INT'L                     749121109     13       3922   SH         DEFINED             3317     605       0
RPM INTERNATIONAL INC                          749685103      4        400   SH         SOLE                 400       0       0
RSA SEC INC                                    749719100      1        187   SH         SOLE                 187       0       0
RF MICRO-DEVICES                               749941100      4        800   SH         DEFINED              800       0       0
RAMTRON INTL CORP           COM NEW            751907304      0        282   SH         DEFINED              282       0       0
RAYTHEON CO                                    755111507     93       3300   SH         SOLE                3300       0       0
RAYTHEON CO                                    755111507    182       6419   SH         DEFINED             6419       0       0
READERS DIGEST ASSN.CLASS A NON VOTING         755267101     10       1000   SH         DEFINED             1000       0       0
REALTY INCOME CORP          COM                756109104      7        200   SH         DEFINED              200       0       0
RED HAT INC                 COM                756577102      0         30   SH         DEFINED               30       0       0
RELIANT RES INC                                75952B105      3        867   SH         DEFINED              867       0       0
ROCKWELL AUTOMATION INC                        773903109     40       1966   SH         DEFINED             1966       0       0
ROCKWELL COLLINS INC                           774341101     36       1966   SH         DEFINED             1966       0       0
ROGERS COMMUNICATION INC.   CL.B NON VOTING    775109200     89       8400   SH         SOLE                8400       0       0
ROHN INDUSTRIES INC                            775381106      1      10000   SH         DEFINED            10000       0       0
ROYAL DUTCH PETE CO         SH PAR N GLDR      780257804     20        500   SH         SOLE                 500       0       0
ROYAL DUTCH PETE CO         SH PAR N GLDR      780257804    675      16572   SH         DEFINED            16572       0       0
RUBY TUESDAY INC.                              781182100     13        656   SH         DEFINED              656       0       0
SBC COMMUNICATIONS INC                         78387G103    812      40539   SH         SOLE               40539       0       0
SBC COMMUNICATIONS INC                         78387G103   1438      71754   SH         DEFINED            64278    5476    2000
SLM CORP                                       78442P106    388       3500   SH         SOLE                3500       0       0
SLM CORP                                       78442P106    110       1000   SH         DEFINED             1000       0       0
STANDARD & POORS DEPOSITORY RECEIPTS           78462F103     47        560   SH         DEFINED              560       0       0
SAFEWAY INC                                    786514208      2        112   SH         SOLE                 112       0       0
SAFEWAY INC                                    786514208      3        200   SH         DEFINED              200       0       0






                                                  FORM 13F INFORMATION TABLE
                                                           VALUE    SHARES/  SH/  PUT/  INVSTMT   OTHER      VOTING AUTHORITY
        NAME OF ISSUER         TITLE OF CLASS    CUSIP    (X$1000)  PRN AMT  PRN  CALL  DSCRETN  MANAGERS   SOLE    SHARED  NONE
-----------------------------  --------------  ---------  --------  -------  ---  ----  -------  --------  ------  -------  -----
                                                                                           
THE ST. PAUL COMPANIES, INC COM                792860108      3        100   SH         DEFINED              100        0       0
THE SALOMON BROTHERS FUND   INC                795477108     10       1175   SH         DEFINED             1175        0       0
SANCHEZ COMPUTER ASSOCIATES                    799702105      0        200   SH         DEFINED              200        0       0
SANMINA-SCI CORP                               800907107      2        500   SH         DEFINED              500        0       0
SANGSTAT MEDICAL CORP                          801003104     25       2550   SH         SOLE                2550        0       0
SARA LEE CORP               COM                803111103    164       8800   SH         SOLE                8800        0       0
SARA LEE CORP               COM                803111103     41       2200   SH         DEFINED             2200        0       0
SCANA CORP NEW                                 80589M102    107       3600   SH         DEFINED             3600        0       0
SCANSOFT INC                                   80603P107      4       1000   SH         DEFINED             1000        0       0
HENRY SCHEIN, INC           COM                806407102      4        100   SH         SOLE                 100        0       0
SCHERING PLOUGH CORP        COM                806605101     60       3370   SH         SOLE                3370        0       0
SCHERING PLOUGH CORP        COM                806605101    155       8700   SH         DEFINED             7300     1400       0
SCHLUMBERGER LTD            COM                806857108    529      13925   SH         SOLE               13425        0     500
SCHLUMBERGER LTD            COM                806857108    289       7631   SH         DEFINED             7531      100       0
SCIENTIFIC-ATLANTA INC                         808655104     20       1500   SH         DEFINED                0        0    1500
SEA CONTAINERS LTD          CLASS A COMMON     811371707      0        100   SH         DEFINED              100        0       0
SEALED AIR CORP NEW         COM                81211K100     46       1169   SH         DEFINED             1169        0       0
SEALED AIR CORP NEW PFD CONV SER A $2          81211K209     26        570   SH         SOLE                 570        0       0
SEALED AIR CORP NEW PFD CONV SER A $2          81211K209     61       1340   SH         DEFINED             1340        0       0
SEARS ROEBUCK & CO          COM                812387108      2        100   SH         SOLE                 100        0       0
SECTOR SPDR TR TECHNOLOGY                      81369Y803     20       1400   SH         SOLE                1400        0       0
SELECTIVE INS. GROUP INC.                      816300107    593      24200   SH         SOLE               24200        0       0
SEMPRA ENERGY               COM                816851109      3        150   SH         SOLE                 150        0       0
SEMPRA ENERGY               COM                816851109     39       1600   SH         DEFINED             1600        0       0
SEPRACOR INC                                   817315104      8        640   SH         SOLE                 640        0       0
SHAW GROUP INC                                 820280105     10       1000   SH         SOLE                1000        0       0
SHAW GROUP INC                                 820280105     37       3700   SH         DEFINED             3700        0       0
SIEBEL SYSTEMS                                 826170102      0        100   SH         SOLE                 100        0       0
SIEBEL SYSTEMS                                 826170102     16       2100   SH         DEFINED             2100        0       0
SIEMENS AG SPONSORED ADR                       826197501     17        425   SH         SOLE                 425        0       0
SIGMA-ALDRICH CORP                             826552101      4        100   SH         SOLE                 100        0       0
SILICON GRAPHICS INC                           827056102      0        200   SH         DEFINED              200        0       0
SIMON PPTY GROUP INC NEW    COM                828806109     34        950   SH         SOLE                 950        0       0
SIMON PPTY GROUP INC NEW    COM                828806109     42       1200   SH         DEFINED             1200        0       0






                                                  FORM 13F INFORMATION TABLE
                                                           VALUE    SHARES/  SH/  PUT/  INVSTMT   OTHER      VOTING AUTHORITY
        NAME OF ISSUER         TITLE OF CLASS    CUSIP    (X$1000)  PRN AMT  PRN  CALL  DSCRETN  MANAGERS   SOLE    SHARED  NONE
-----------------------------  --------------  ---------  --------  -------  ---  ----  -------  --------  ------  -------  -----
                                                                                           
SKYWORKS SOLUTIONS                             83088M102       4       689   SH         DEFINED              689        0      0
J. M. SMUCKER CO                               832696405       2        82   SH         SOLE                  82        0      0
J. M. SMUCKER CO                               832696405      60      1716   SH         DEFINED             1516        0    200
SOLECTRON CORP                                 834182107       0       250   SH         DEFINED              250        0      0
SOLUTIA INC                 COM                834376105      11      7300   SH         SOLE                7300        0      0
SOMERA COMMUNICATIONS                          834458101       0      1000   SH         DEFINED             1000        0      0
SONIC CORP                                     835451105      25      1000   SH         SOLE                1000        0      0
SONIC CORP                                     835451105      22       900   SH         DEFINED                0      900      0
SONOCO PRODUCTS                                835495102      15       750   SH         DEFINED              750        0      0
SONY CORP ADR AMERN SH NEW  EA REPR 1 JAPANESE 835699307      21       600   SH         DEFINED              600        0      0
SOUTH JERSEY INDUSTRIES,INC                    838518108       5       171   SH         DEFINED              171        0      0
SOUTHERN CO                 COM                842587107     116      4092   SH         SOLE                4092        0      0
SOUTHERN CO                 COM                842587107     336     11825   SH         DEFINED            11825        0      0
SPRINT CORPORATION                             852061100      35      3000   SH         DEFINED             3000        0      0
SPRINT CORP PCS SER 1                          852061506       4      1100   SH         DEFINED             1100        0      0
STARBUCKS CORPORATION                          855244109     950     36900   SH         SOLE               36200        0    700
STARBUCKS CORPORATION                          855244109     557     21670   SH         DEFINED            17300     2795   1575
STARWOOD HOTELS & RESORTS   WORLDWIDE INC      85590A203      16       704   SH         SOLE                 704        0      0
STARWOOD HOTELS & RESORTS   WORLDWIDE INC      85590A203      20       857   SH         DEFINED              857        0      0
STATE STREET CORP           COM                857477103      75      2400   SH         DEFINED             2400        0      0
STRATTEC SECURITY CORPORATION                  863111100       0        20   SH         SOLE                  20        0      0
STRYKER CORP                                   863667101       6       100   SH         DEFINED              100        0      0
STURM RUGER & CO.                              864159108      17      2000   SH         SOLE                2000        0      0
SUBURBAN PROPANE PARTNERS LP UNIT LTD          864482104      83      3000   SH         SOLE                3000        0      0
SUBURBAN PROPANE PARTNERS LP UNIT LTD          864482104     180      6500   SH         DEFINED              500     6000      0
SUN MICROSYSTEMS INC        COM                866810104     131     40575   SH         SOLE               35325        0   5250
SUN MICROSYSTEMS INC        COM                866810104     171     52836   SH         DEFINED            50436        0   2400
SUNOCO INC                                     86764P109       4       119   SH         SOLE                 119        0      0
SUNOCO INC                                     86764P109     110      3009   SH         DEFINED             3009        0      0
SUNTRUST BANKS INC                             867914103      15       300   SH         DEFINED              300        0      0
SUPERGEN INC                COM                868059106     111     40000   SH         DEFINED            40000        0      0
SYBASE INC.                                    871130100       6       500   SH         SOLE                 500        0      0
SYNGENTA AG                                    87160A100       1       200   SH         SOLE                 200        0      0






                                                  FORM 13F INFORMATION TABLE
                                                           VALUE    SHARES/  SH/  PUT/  INVSTMT   OTHER      VOTING AUTHORITY
        NAME OF ISSUER         TITLE OF CLASS    CUSIP    (X$1000)  PRN AMT  PRN  CALL  DSCRETN  MANAGERS   SOLE    SHARED  NONE
-----------------------------  --------------  ---------  --------  -------  ---  ----  -------  --------  ------  -------  -----
                                                                                           
TECO ENERGY INC             COM                872375100    108      10200   SH         SOLE               10200        0       0
TECO ENERGY INC             COM                872375100     41       3900   SH         DEFINED             3900        0       0
TEPPCO PARTNERS LP                             872384102     82       2600   SH         DEFINED             2600        0       0
TJX COMPANIES                                  872540109     35       2000   SH         DEFINED             2000        0       0
TXU CORP                                       873168108     23       1300   SH         DEFINED             1300        0       0
TARGET CORPORATION                             87612E106    332      11359   SH         SOLE               11359        0       0
TARGET CORPORATION                             87612E106    685      23423   SH         DEFINED            21773     1650       0
TEKTRONIX INC                                  879131100     85       5000   SH         SOLE                5000        0       0
TELECOM CORP OF NEW ZEALAND LT SPON ADR        879278208      7        400   SH         DEFINED              400        0       0
TELEFONOS DE MEXICO SA DE   CV ADR             879403780     11        400   SH         DEFINED              400        0       0
TEMPLE INLAND INC                              879868107     45       1218   SH         DEFINED             1218        0       0
TENET HEALTHCARE CORPORATION                   88033G100      3        181   SH         DEFINED              181        0       0
TERAYON COMMUNICATION                          880775101      0        200   SH         DEFINED              200        0       0
TEVA PHARMACEUTICAL INDS ADR                   881624209    787      18900   SH         SOLE               18300        0     600
TEVA PHARMACEUTICAL INDS ADR                   881624209    739      17750   SH         DEFINED            16550        0    1200
TEXAS INSTRUMENTS                              882508104    471      28806   SH         SOLE               28406        0     400
TEXAS INSTRUMENTS                              882508104    766      46880   SH         DEFINED            44630      750    1500
THERMO ELECTRON CORP        COM                883556102     41       2272   SH         DEFINED             2272        0       0
THESTREET COM INC                              88368Q103      0        100   SH         DEFINED              100        0       0
THOMAS & BETTS CORPORATION                     884315102      5        400   SH         DEFINED              400        0       0
THORNBURG MORTGAGE INC                         885218107     61       3000   SH         SOLE                3000        0       0
3M CO COM                                      88579Y101     44        340   SH         SOLE                 340        0       0
3M CO COM                                      88579Y101    850       6541   SH         DEFINED             6541        0       0
TIMKEN CO                                      887389104     62       4000   SH         DEFINED             4000        0       0
TORCHMARK CORP.                                891027104     85       2400   SH         DEFINED             2400        0       0
TOYS "R" US INC                                892335100      2        300   SH         SOLE                 300        0       0
TRANSCANADA PIPELINES LTD                      893526103      2        152   SH         SOLE                 152        0       0
TRAVELERS PPTY CAS CORP NEW CLASS A            89420G109      2        172   SH         SOLE                 172        0       0
TRAVELERS PPTY CAS CORP NEW CLASS A            89420G109     24       1729   SH         DEFINED             1721        8       0
TRAVELERS PPTY CAS CORP CLASS B NEW            89420G406      5        372   SH         SOLE                 372        0       0
TRAVELERS PPTY CAS CORP CLASS B NEW            89420G406     50       3565   SH         DEFINED             3548       17       0
TREDEGAR INDUSTRIES INC                        894650100      2        240   SH         SOLE                 240        0       0
TRI-CONTINENTAL CORPORATION                    895436103      9        739   SH         DEFINED              739        0       0






                                                  FORM 13F INFORMATION TABLE
                                                           VALUE    SHARES/  SH/  PUT/  INVSTMT   OTHER      VOTING AUTHORITY
        NAME OF ISSUER         TITLE OF CLASS    CUSIP    (X$1000)  PRN AMT  PRN  CALL  DSCRETN  MANAGERS   SOLE    SHARED  NONE
-----------------------------  --------------  ---------  --------  -------  ---  ----  -------  --------  ------  -------  -----
                                                                                           
TRIBUNE CO NEW COM                             896047107      39        875  SH         SOLE                 875        0       0
TRIBUNE CO NEW COM                             896047107      55       1227  SH         DEFINED             1227        0       0
TUPPERWARE CORP             COM                899896104       1        100  SH         DEFINED              100        0       0
TYCO INTL LTD               NEW COM            902124106      80       6250  SH         SOLE                6250        0       0
TYCO INTL LTD               NEW COM            902124106      46       3619  SH         DEFINED             3619        0       0
UGI CORPORATION                                902681105     274       6000  SH         SOLE                6000        0       0
UGI CORPORATION                                902681105     335       7350  SH         DEFINED             7350        0       0
UST INC                     COM                902911106      33       1200  SH         SOLE                1200        0       0
US BANCORP DEL COM                             902973304      54       2865  SH         SOLE                2865        0       0
UNILIVER NV NY SHARE F NEW                     904784709      23        400  SH         DEFINED              400        0       0
UNION PACIFIC CORP          COM                907818108     156       2850  SH         SOLE                2850        0       0
UNION PACIFIC CORP          COM                907818108     242       4408  SH         DEFINED             1950        0    2458
UNITED NATIONAL BANCORP NJ                     910909100     233       9950  SH         SOLE                9950        0       0
UNITED NATIONAL BANCORP NJ                     910909100     202       8620  SH         DEFINED             6203     2417       0
UNITED PARCEL SERVICE                          911312106     171       3015  SH         DEFINED             3015        0       0
UNITED TECHNOLOGIES CORP    COM                913017109     312       5407  SH         SOLE                5407        0       0
UNITED TECHNOLOGIES CORP    COM                913017109     990      17146  SH         DEFINED            16846      300       0
UNITEDHEALTH GROUP INC                         91324P102      11        121  SH         DEFINED              121        0       0
VALLEY NATIONAL BANCORP.                       919794107       3        125  SH         SOLE                 125        0       0
VALLEY NATIONAL BANCORP.                       919794107      90       3659  SH         DEFINED             3659        0       0
VAN KAMPEN TRUST MUNICIPALS                    920929106       9        600  SH         SOLE                 600        0       0
VERIZON CORPORATION                            92343V104    1188      33634  SH         SOLE               33584        0      50
VERIZON CORPORATION                            92343V104    3128      88513  SH         DEFINED            80569     4958    2986
VERITAS SOFTWARE CORP                          923436109       8        500  SH         SOLE                 500        0       0
VERITAS SOFTWARE CORP                          923436109      48       2747  SH         DEFINED             2747        0       0
VERMONT TEDDY BEAR INC                         92427X109       0         50  SH         SOLE                  50        0       0
VIACOM INC COM CLASS A                         925524100      36       1000  SH         DEFINED             1000        0       0
VIACOM INC. CLASS B COMMON                     925524308       4        120  SH         SOLE                 120        0       0
VIACOM INC. CLASS B COMMON                     925524308      58       1607  SH         DEFINED             1607        0       0
VIASYS HEALTHCARE INC                          92553Q209       2        165  SH         DEFINED              165        0       0
VISTEON CORP                                   92839U107       1        314  SH         DEFINED              314        0       0
VODAFONE GROUP PLC                             92857W100     170       9390  SH         SOLE                9390        0       0
VODAFONE GROUP PLC                             92857W100     564      30987  SH         DEFINED            27971     1016    2000






                                                  FORM 13F INFORMATION TABLE
                                                           VALUE    SHARES/  SH/  PUT/  INVSTMT   OTHER      VOTING AUTHORITY
        NAME OF ISSUER         TITLE OF CLASS    CUSIP    (X$1000)  PRN AMT  PRN  CALL  DSCRETN  MANAGERS   SOLE    SHARED  NONE
-----------------------------  --------------  ---------  --------  -------  ---  ----  -------  --------  ------  -------  -----
                                                                                           
VULCAN MATERIALS COMPANY COM                   929160109       36     1200   SH         DEFINED             1200        0       0
WGL HOLDINGS INC                               92924F106      142     5400   SH         DEFINED             4400        0    1000
WMS INDUSTRIES INC                             929297109        6      500   SH         DEFINED              500        0       0
WACHOVIA CORP 2ND NEW COM                      929903102     2637    77449   SH         SOLE               77449        0       0
WACHOVIA CORP 2ND NEW COM                      929903102     1192    35017   SH         DEFINED            34693      324       0
WAL-MART STORES INC                            931142103      476     9155   SH         SOLE                9155        0       0
WAL-MART STORES INC                            931142103      732    14075   SH         DEFINED            14075        0       0
WALGREEN CO                                    931422109       41     1400   SH         SOLE                1400        0       0
WALGREEN CO                                    931422109        2      100   SH         DEFINED              100        0       0
WASHINGTON MUTUAL INC                          939322103        3      100   SH         SOLE                 100        0       0
WASHINGTON MUTUAL INC                          939322103       45     1300   SH         DEFINED             1300        0       0
WASHINGTON TRUST BANCORP INC                   940610108       63     3163   SH         DEFINED             3163        0       0
WASTE MANAGEMENT INC                           94106L109        4      200   SH         SOLE                 200        0       0
WASTE MANAGEMENT INC                           94106L109        3      145   SH         DEFINED              145        0       0
WELLS FARGO & CO NEW        COM                949746101      901    20031   SH         SOLE               20031        0       0
WELLS FARGO & CO NEW        COM                949746101      765    17010   SH         DEFINED            14325     1975     710
WESTAR ENERGY INC                              95709T100        2      200   SH         SOLE                 200        0       0
WESTERN GAS RESOURCES INC                      958259103       32     1000   SH         DEFINED             1000        0       0
WEYERHAEUSER CO             COM                962166104       17      366   SH         SOLE                 366        0       0
WEYERHAEUSER CO             COM                962166104       47     1000   SH         DEFINED             1000        0       0
WHIRLPOOL CORP              COM                963320106       14      300   SH         DEFINED                0        0     300
WHOLE FOOD MARKET INC                          966837106       22      400   SH         SOLE                 400        0       0
WHOLE FOOD MARKET INC                          966837106       16      300   SH         DEFINED              300        0       0
WILLIAMS COS INC DEL        COM                969457100        1      300   SH         SOLE                 300        0       0
WILLIAMS COS INC DEL        COM                969457100       22     5000   SH         DEFINED             5000        0       0
WILLIAMS SONOMA INC         COM                969904101      104     4800   SH         DEFINED             4800        0       0
WIND RIVER SYSTEMS                             973149107        4     1500   SH         SOLE                1500        0       0
WIND RIVER SYSTEMS                             973149107        0      100   SH         DEFINED              100        0       0
WISCONSIN ENERGY CORP       COM                976657106      103     4089   SH         DEFINED             4089        0       0
WRIGLEY WM JR CO                               982526105       11      200   SH         SOLE                 200        0       0
WYETH INC.                                     983024100      818    21638   SH         SOLE               21638        0       0
WYETH INC.                                     983024100     1565    41404   SH         DEFINED            39804     1400     200
XM SATELLITE RADIO HOLDINGS INC                983759101        0      150   SH         DEFINED              150        0       0






                                                  FORM 13F INFORMATION TABLE
                                                           VALUE    SHARES/  SH/  PUT/  INVSTMT   OTHER      VOTING AUTHORITY
        NAME OF ISSUER         TITLE OF CLASS    CUSIP    (X$1000)  PRN AMT  PRN  CALL  DSCRETN  MANAGERS    SOLE   SHARED   NONE
-----------------------------  --------------  ---------  --------  -------  ---  ----  -------  --------  -------  ------  ------
                                                                                           
XILINX INC                                     983919101       74      3200  SH         DEFINED               3200       0       0
XEROX CORP                  COM                984121103       19      2200  SH         DEFINED               2200       0       0
YUM BRANDS INC                                 988498101       25      1050  SH         DEFINED               1050       0       0
ZIMMER HOLDINGS GROUP                          98956P102       32       670  SH         SOLE                   320       0     350
ZIMMER HOLDINGS GROUP                          98956P102      445      9161  SH         DEFINED               9021      90      50
ZORAN CORP                                     98975F101       33      2600  SH         SOLE                  2600       0       0
ZWEIG TOTAL RETURN FD INC                      989837109        6      1139  SH         SOLE                  1139       0       0
ZWEIG TOTAL RETURN FD INC                      989837109       10      1812  SH         DEFINED               1812       0       0

 GRAND TOTALS                                              214552   7202606                                6875968  166660  159978