UNITED STATES SECURITIES AND EXCHANGE COMMISSION Washington, D.C. 20549 FORM 13F FORM 13F COVER PAGE Report for the Calendar Year or Quarter Ended: 06/30/2007 Check here if Amendment [ ] Amendment Number: This Amendment [ ] is a restatement Institutional Investment Manager Filing this Report: Name: TRUSTCO BANK Address: 3 SARNOWSKI DRIVE GLENVILLE, NY 12302 13F File Number: 28-10307 The institutional investment Manager filing this report and the person by whom it is signed hereby represent that the person signing the report is authorized to submit it, that all information contained herein is true, correct and complete, and that it is understood that all required items, statements, schedules, lists, and tables, are considered integral parts of this form. Person Signing this Report on Behalf of Reporting Manager: Name: Richard W. Provost Title: Trust Officer Phone: 518-381-3699 Signature, Place, and Date of Signing: 07/05/2007 Report Type (Check only one) [X] 13F HOLDINGS REPORT [ ] 13F COMBINATION REPORT FORM 13F INFORMATION TABLE VALUE SHS INVSTMT OTHER VOTING AUTHORITY NAME OF ISSUER TITLE X PRN SH PUT DISCRTN MANAGERS SOLE SHARED NONE SECURITY NAME OF CLASS CUSIP $1000 AMOUNT PRN CALL AT&T INC COMMON STOCK 00206R102 2570 61918 SH DEFINED 61153 765 00206R102 1053 25366 SH DEF/OTH 16065 9301 ABBOTT COMMON STOCK 002824100 2431 45402 SH DEFINED 42752 450 2200 LABORATORIES 002824100 462 8626 SH DEF/OTH 5026 2800 800 AIR PRODUCTS & COMMON STOCK 009158106 840 10457 SH DEFINED 10457 CHEMICALS INC ALCOA INC COMMON STOCK 013817101 819 20200 SH DEFINED 19900 200 100 013817101 36 900 SH DEF/OTH 600 300 ALLSTATE CORP COMMON STOCK 020002101 1685 27392 SH DEFINED 27392 020002101 179 2908 SH DEF/OTH 1470 1338 100 ALTRIA GROUP INC COMMON STOCK 02209S103 61 870 SH DEFINED 870 02209S103 3037 43300 SH DEF/OTH 37800 5500 AMERICAN EXPRESS COMMON STOCK 025816109 1772 28965 SH DEFINED 27265 200 1500 CO 025816109 522 8534 SH DEF/OTH 6734 1800 COLUMN TOTALS 15467 Page 1 FORM 13F INFORMATION TABLE VALUE SHS INVSTMT OTHER VOTING AUTHORITY NAME OF ISSUER TITLE X PRN SH PUT DISCRTN MANAGERS SOLE SHARED NONE SECURITY NAME OF CLASS CUSIP $1000 AMOUNT PRN CALL AMERICAN COMMON STOCK 026874107 213 3042 SH DEFINED 2942 100 INTERNATIONAL GROUP 026874107 91 1300 SH DEF/OTH 1300 ANHEUSER BUSCH COMMON STOCK 035229103 757 14521 SH DEFINED 12921 800 800 COS INC 035229103 167 3200 SH DEF/OTH 200 3000 APPLIED COMMON STOCK 038222105 457 23000 SH DEFINED 19800 3200 MATERIALS INC 038222105 4 200 SH DEF/OTH 200 ARGONAUT GROUP COMMON STOCK 040157109 1677 53747 SH DEFINED 53747 INC AUTOMATIC DATA COMMON STOCK 053015103 956 19725 SH DEFINED 18225 1500 PROCESSING INC 053015103 63 1300 SH DEF/OTH 500 700 100 BP PLC FOREIGN STOCK 055622104 2705 37498 SH DEFINED 33198 3100 1200 055622104 599 8301 SH DEF/OTH 4497 3704 100 BAKER HUGHES INC COMMON STOCK 057224107 227 2700 SH DEFINED 2700 COLUMN TOTALS 7916 Page 2 FORM 13F INFORMATION TABLE VALUE SHS INVSTMT OTHER VOTING AUTHORITY NAME OF ISSUER TITLE X PRN SH PUT DISCRTN MANAGERS SOLE SHARED NONE SECURITY NAME OF CLASS CUSIP $1000 AMOUNT PRN CALL 057224107 34 400 SH DEF/OTH 100 300 BANK OF AMERICA COMMON STOCK 060505104 2190 44799 SH DEFINED 43816 950 33 CORP 060505104 1022 20896 SH DEF/OTH 16842 3654 400 BANK OF NEW YORK COMMON STOCK 064057102 879 21200 SH DEFINED 21200 INC BRISTOL-MYERS COMMON STOCK 110122108 167 5300 SH DEFINED 1700 3600 SQUIBB CO 110122108 372 11800 SH DEF/OTH 3200 8600 CHEVRON CORP NEW COMMON STOCK 166764100 3316 39358 SH DEFINED 36308 650 2400 166764100 1158 13747 SH DEF/OTH 11260 1687 800 CISCO SYSTEMS INC COMMON STOCK 17275R102 1913 68685 SH DEFINED 67635 600 450 17275R102 84 3000 SH DEF/OTH 1300 1200 500 CITIGROUP INC COMMON STOCK 172967101 3448 67217 SH DEFINED 66267 950 COLUMN TOTALS 14583 Page 3 FORM 13F INFORMATION TABLE VALUE SHS INVSTMT OTHER VOTING AUTHORITY NAME OF ISSUER TITLE X PRN SH PUT DISCRTN MANAGERS SOLE SHARED NONE SECURITY NAME OF CLASS CUSIP $1000 AMOUNT PRN CALL 172967101 236 4600 SH DEF/OTH 1500 2700 400 COCA COLA CO COMMON STOCK 191216100 3119 59617 SH DEFINED 58717 900 191216100 649 12400 SH DEF/OTH 8200 4200 COLGATE COMMON STOCK 194162103 2193 33811 SH DEFINED 33261 550 PALMOLIVE CO 194162103 272 4200 SH DEF/OTH 300 3400 500 CURTISS WRIGHT COMMON STOCK 231561101 2999 64352 SH DEFINED 64352 CORP DISNEY WALT CO COMMON STOCK 254687106 1879 55033 SH DEFINED 52383 250 2400 254687106 266 7800 SH DEF/OTH 4700 3000 100 DOMINION COMMON STOCK 25746U109 47 543 SH DEFINED 543 RESOURCES INC VA NEW 25746U109 277 3209 SH DEF/OTH 3209 DOW CHEMICAL CO COMMON STOCK 260543103 495 11200 SH DEFINED 10350 850 260543103 147 3325 SH DEF/OTH 2225 1100 DU PONT E I DE COMMON STOCK 263534109 1072 21076 SH DEFINED 17490 1686 1900 COLUMN TOTALS 13651 Page 4 FORM 13F INFORMATION TABLE VALUE SHS INVSTMT OTHER VOTING AUTHORITY NAME OF ISSUER TITLE X PRN SH PUT DISCRTN MANAGERS SOLE SHARED NONE SECURITY NAME OF CLASS CUSIP $1000 AMOUNT PRN CALL NEMOURS & CO 263534109 168 3310 SH DEF/OTH 660 2450 200 ECOLAB INC COMMON STOCK 278865100 307 7200 SH DEFINED 6200 1000 278865100 17 400 SH DEF/OTH 200 200 EMERSON ELECTRIC COMMON STOCK 291011104 342 7300 SH DEFINED 6800 100 400 CO 291011104 300 6400 SH DEF/OTH 1000 5400 EQUITABLE COMMON STOCK 294549100 226 4560 SH DEFINED 4560 RESOURCES INC EXCELSIOR TAX MUTUAL 300861408 165 19443 SH DEFINED 19443 EXEMPT FUNDS INC FUNDS/MUNI BONDS EXELON CORP COMMON STOCK 30161N101 937 12900 SH DEFINED 12300 600 30161N101 144 1990 SH DEF/OTH 1490 500 EXXON CORP COMMON STOCK 302290101 211 2896 SH DEFINED 2896 EXXON MOBIL CORP COMMON STOCK 30231G102 13344 159088 SH DEFINED 140690 14884 3514 30231G102 3199 38137 SH DEF/OTH 22156 14625 1356 COLUMN TOTALS 19360 Page 5 FORM 13F INFORMATION TABLE VALUE SHS INVSTMT OTHER VOTING AUTHORITY NAME OF ISSUER TITLE X PRN SH PUT DISCRTN MANAGERS SOLE SHARED NONE SECURITY NAME OF CLASS CUSIP $1000 AMOUNT PRN CALL FPL GROUP INC COMMON STOCK 302571104 722 12718 SH DEFINED 12718 FORTUNE BRANDS COMMON STOCK 349631101 675 8200 SH DEFINED 7800 200 200 INC 349631101 280 3400 SH DEF/OTH 2800 500 100 FRANKLIN N Y TAX MUTUAL 354130106 137 11795 SH DEFINED 11795 FREE INCOME FUNDS/MUNI BONDS 354130106 132 11334 SH DEF/OTH 11334 GENERAL ELECTRIC COMMON STOCK 369604103 31689 827827 SH DEFINED 784678 32189 10960 CO 369604103 11614 303384 SH DEF/OTH 223823 66161 13400 GENERAL MILLS INC COMMON STOCK 370334104 428 7333 SH DEFINED 6433 700 200 370334104 263 4500 SH DEF/OTH 4300 200 GLAXOSMITHKLINE FOREIGN STOCK 37733W105 697 13300 SH DEFINED 12650 650 PLC 37733W105 232 4427 SH DEF/OTH 3227 1100 100 COLUMN TOTALS 46869 Page 6 FORM 13F INFORMATION TABLE VALUE SHS INVSTMT OTHER VOTING AUTHORITY NAME OF ISSUER TITLE X PRN SH PUT DISCRTN MANAGERS SOLE SHARED NONE SECURITY NAME OF CLASS CUSIP $1000 AMOUNT PRN CALL HEWLETT PACKARD COMMON STOCK 428236103 647 14500 SH DEFINED 14500 CO 428236103 116 2600 SH DEF/OTH 2600 HOME DEPOT INC COMMON STOCK 437076102 792 20137 SH DEFINED 18287 350 1500 437076102 60 1525 SH DEF/OTH 525 600 400 HONEYWELL COMMON STOCK 438516106 66 1180 SH DEFINED 1180 INTERNATIONAL INC 438516106 135 2400 SH DEF/OTH 2400 ITT CORP COMMON STOCK 450911102 229 3350 SH DEFINED 3350 INTEL CORP COMMON STOCK 458140100 2841 119682 SH DEFINED 117282 2400 458140100 171 7200 SH DEF/OTH 4200 2500 500 INTERNATIONAL COMMON STOCK 459200101 4568 43402 SH DEFINED 42602 800 BUSINESS MACHINES 459200101 389 3700 SH DEF/OTH 400 3300 JPMORGAN CHASE & COMMON STOCK 46625H100 1813 37429 SH DEFINED 36151 1014 264 CO 46625H100 558 11516 SH DEF/OTH 7750 3766 COLUMN TOTALS 12385 Page 7 FORM 13F INFORMATION TABLE VALUE SHS INVSTMT OTHER VOTING AUTHORITY NAME OF ISSUER TITLE X PRN SH PUT DISCRTN MANAGERS SOLE SHARED NONE SECURITY NAME OF CLASS CUSIP $1000 AMOUNT PRN CALL JACOBS COMMON STOCK 469814107 247 4300 SH DEFINED 4200 100 ENGINEERING GROUP INC 469814107 12 200 SH DEF/OTH 200 JOHNSON & JOHNSON COMMON STOCK 478160104 6122 99343 SH DEFINED 96343 3000 478160104 642 10425 SH DEF/OTH 6125 3200 1100 JOHNSON CONTROLS COMMON STOCK 478366107 614 5300 SH DEFINED 5300 INC 478366107 156 1350 SH DEF/OTH 300 1000 50 KEYCORP COMMON STOCK 493267108 2350 68450 SH DEFINED 68450 KRAFT FOODS INC COMMON STOCK 50075N104 21 602 SH DEFINED 602 50075N104 1056 29964 SH DEF/OTH 26158 3806 LILLY ELI & CO COMMON STOCK 532457108 793 14200 SH DEFINED 13300 900 532457108 45 800 SH DEF/OTH 500 300 LINCOLN NATIONAL COMMON STOCK 534187109 430 6064 SH DEFINED 6064 CORP IN 534187109 199 2800 SH DEF/OTH 2800 LOWES COS INC COMMON STOCK 548661107 706 23000 SH DEFINED 23000 548661107 74 2400 SH DEF/OTH 1000 1400 COLUMN TOTALS 13467 Page 8 FORM 13F INFORMATION TABLE VALUE SHS INVSTMT OTHER VOTING AUTHORITY NAME OF ISSUER TITLE X PRN SH PUT DISCRTN MANAGERS SOLE SHARED NONE SECURITY NAME OF CLASS CUSIP $1000 AMOUNT PRN CALL MARATHON OIL CORP COMMON STOCK 565849106 99 1652 SH DEFINED 1652 565849106 120 2000 SH DEF/OTH 2000 MASCO CORP COMMON STOCK 574599106 363 12750 SH DEFINED 11700 1050 574599106 57 2000 SH DEF/OTH 900 900 200 MCGRAW HILL COS COMMON STOCK 580645109 681 10000 SH DEFINED 10000 INC 580645109 68 1000 SH DEF/OTH 400 600 MEDTRONIC INC COMMON STOCK 585055106 3097 59726 SH DEFINED 52226 700 6800 585055106 57 1100 SH DEF/OTH 500 300 300 MERCK & CO INC COMMON STOCK 589331107 189 3800 SH DEFINED 3800 589331107 15 300 SH DEF/OTH 300 MICROSOFT CORP COMMON STOCK 594918104 5509 186945 SH DEFINED 175495 850 10600 594918104 743 25200 SH DEF/OTH 21500 3000 700 MOTOROLA INC COMMON STOCK 620076109 471 26595 SH DEFINED 25895 100 600 COLUMN TOTALS 11469 Page 9 FORM 13F INFORMATION TABLE VALUE SHS INVSTMT OTHER VOTING AUTHORITY NAME OF ISSUER TITLE X PRN SH PUT DISCRTN MANAGERS SOLE SHARED NONE SECURITY NAME OF CLASS CUSIP $1000 AMOUNT PRN CALL 620076109 69 3900 SH DEF/OTH 3300 600 NBT BANCORP INC COMMON STOCK 628778102 545 24158 SH DEFINED 672 23486 NIKE INC COMMON STOCK 654106103 268 4600 SH DEFINED 4600 654106103 12 200 SH DEF/OTH 200 PEPSICO INC COMMON STOCK 713448108 4564 70373 SH DEFINED 67123 1250 2000 713448108 447 6900 SH DEF/OTH 2300 4300 300 PFIZER INC COMMON STOCK 717081103 952 37219 SH DEFINED 34319 800 2100 717081103 261 10226 SH DEF/OTH 3466 6760 PRIVATE EXPORT CORPORATE BONDS 742651DC3 246 250000 PRN DEFINED 250000 FUNDING CORP PROCTER & GAMBLE COMMON STOCK 742718109 6279 102617 SH DEFINED 98577 840 3200 CO 742718109 943 15403 SH DEF/OTH 3800 10308 1295 ROCHESTER FUND MUTUAL 771362100 232 12559 SH DEFINED 12559 MUNICIPALS INC FUNDS/MUNI BONDS 771362100 157 8490 SH DEF/OTH 8490 COLUMN TOTALS 14975 Page 10 FORM 13F INFORMATION TABLE VALUE SHS INVSTMT OTHER VOTING AUTHORITY NAME OF ISSUER TITLE X PRN SH PUT DISCRTN MANAGERS SOLE SHARED NONE SECURITY NAME OF CLASS CUSIP $1000 AMOUNT PRN CALL SCHERING PLOUGH COMMON STOCK 806605101 530 17400 SH DEFINED 13100 4300 CORP SCHLUMBERGER LTD COMMON STOCK 806857108 811 9550 SH DEFINED 8650 200 700 806857108 17 200 SH DEF/OTH 200 SOUTHERN CO COMMON STOCK 842587107 2726 79508 SH DEFINED 77758 1450 300 842587107 199 5800 SH DEF/OTH 1700 3300 800 TARGET CORP COMMON STOCK 87612E106 1526 24000 SH DEFINED 23150 150 700 87612E106 127 2000 SH DEF/OTH 900 1100 TEXAS COMMON STOCK 882508104 716 19030 SH DEFINED 19030 INSTRUMENTS INC 882508104 11 300 SH DEF/OTH 100 200 3M CO COMMON STOCK 88579Y101 1675 19300 SH DEFINED 19300 88579Y101 619 7130 SH DEF/OTH 580 6550 TRUSTCO BANK COMMON STOCK 898349105 9820 993969 SH DEFINED 721420 84842 187707 CORP NY COLUMN TOTALS 18777 Page 11 FORM 13F INFORMATION TABLE VALUE SHS INVSTMT OTHER VOTING AUTHORITY NAME OF ISSUER TITLE X PRN SH PUT DISCRTN MANAGERS SOLE SHARED NONE SECURITY NAME OF CLASS CUSIP $1000 AMOUNT PRN CALL 898349105 6979 706332 SH DEF/OTH 632684 35342 38306 UNITED PARCEL COMMON STOCK 911312106 575 7875 SH DEFINED 7425 400 50 SERVICE 911312106 11 150 SH DEF/OTH 100 50 UNITED COMMON STOCK 913017109 3950 55689 SH DEFINED 50489 400 4800 TECHNOLOGIES CORP 913017109 277 3900 SH DEF/OTH 2100 1400 400 UNITRIN INC COMMON STOCK 913275103 11093 225568 SH DEFINED 225568 VANGUARD MUTUAL 922021308 272 25136 SH DEFINED 25136 CALIFORNIA TAX FUNDS/MUNI FREE BONDS VANGUARD NEW MUTUAL 92204H103 168 15285 SH DEFINED 15285 YORK TAX FREE FUNDS/MUNI FUNDS BONDS VANGUARD NEW MUTUAL 92204H301 3016 273655 SH DEFINED 273655 YORK TAX FREE FUNDS/MUNI FUNDS BONDS 92204H301 380 34457 SH DEF/OTH 34457 VERIZON COMMON STOCK 92343V104 1691 41078 SH DEFINED 39228 1350 500 COMMUNICATIONS INC COLUMN TOTALS 28412 Page 12 FORM 13F INFORMATION TABLE VALUE SHS INVSTMT OTHER VOTING AUTHORITY NAME OF ISSUER TITLE X PRN SH PUT DISCRTN MANAGERS SOLE SHARED NONE SECURITY NAME OF CLASS CUSIP $1000 AMOUNT PRN CALL 92343V104 507 12308 SH DEF/OTH 7034 5074 200 WAL-MART STORES COMMON STOCK 931142103 1748 36325 SH DEFINED 35325 1000 INC 931142103 192 4000 SH DEF/OTH 3600 200 200 WELLS FARGO & CO COMMON STOCK 949746101 1899 54005 SH DEFINED 53205 800 NEW 949746101 215 6100 SH DEF/OTH 2000 3500 600 WYETH COMMON STOCK 983024100 550 9600 SH DEFINED 9600 983024100 161 2815 SH DEF/OTH 1415 1400 NOBLE CORP COMMON STOCK G65422100 1014 10400 SH DEFINED 10400 G65422100 10 100 SH DEF/OTH 100 COLUMN TOTALS 6296 AGGREGATE TOTAL 223627 Page 13 FORM 13F SUMMARY PAGE Report Summary: Number of Other Included Managers: 0 Form 13F Information Table Entry Total: 158 Form 13F Information Table Value Total: $ 223,627 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. 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