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

                                    Form 13F
                               Form 13F COVER PAGE
Report for the Calendar Year or Quarter Ended: 6/30/2011
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:      Burke & Herbert Bank & Trust Co.

Address:   PO Box 268 Alexandria


Form 13F File Number: 028-05313


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.

Persons Signing this Report on Behalf of Reporting Manager:

Name:   M. Patricia Barron
Title:  Vice President
Phone:  703-549-6600

Signature,  Place,  and  Date  of  Signing:

/s/ M. Patricia Barron             Alexandria, VA                     7/6/2011
---------------------------------  ---------------------------------  ----------
[Signature]                        [City, State]                      [Date]



Report  Type  (Check  only  one):

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

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

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

List of Other Managers Reporting for this Manager:




                              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:  $       85,153
                                         --------------
                                         (In Thousands)


List of Other Included Managers:

Provide a numbered list of the name(s) and 13F file number(s) of all
institutional investment managers with respect to which this report is filed,
other than the manager filing this report.
NONE







                                                  FORM 13F INFORMATION TABLE

          COLUMN 1              COLUMN 2    COLUMN 3  COLUMN 4      COLUMN 5        COLUMN 6  COLUMN 7      COLUMN 8
---------------------------- -------------- --------- -------- ------------------- ---------- -------- -------------------
                                                       VALUE    SHRS OR   SH/ PUT/ INVESTMENT  OTHER    VOTING AUTHORITY
       NAME OF ISSUER        TITLE OF CLASS   CUSIP   (x$1000)  PRN AMT   PRN CALL DISCRETION MANAGERS  SOLE   SHARED NONE
---------------------------- -------------- --------- -------- ---------- --- ---- ---------- -------- ------- ------ ----
                                                                                     
AT&T INC                     COM            00206R102      879  27,997 SH          SOLE                 27,997      0    0
AT&T INC                     COM            00206R102      869  27,661 SH          DEFINED              27,661      0    0
ABBOTT LABS                  COM            002824100      400   7,600 SH          SOLE                  7,600      0    0
ABBOTT LABS                  COM            002824100      566  10,760 SH          DEFINED              10,760      0    0
ALCOA INC                    COM            013817101       74   4,655 SH          SOLE                  4,655      0    0
ALCOA INC                    COM            013817101      133   8,400 SH          DEFINED               8,400      0    0
ALTRIA GROUP INC             COM            02209S103      511  19,350 SH          SOLE                 19,350      0    0
ALTRIA GROUP INC             COM            02209S103      169   6,400 SH          DEFINED               6,400      0    0
AMERICAN EXPRESS CO          COM            025816109      270   5,216 SH          SOLE                  5,216      0    0
AMERICAN EXPRESS CO          COM            025816109       78   1,500 SH          DEFINED               1,500      0    0
APPLE INC                    COM            037833100      285     850 SH          SOLE                    850      0    0
APPLE INC                    COM            037833100      621   1,850 SH          DEFINED               1,850      0    0
ATLAS PIPELINE PARTNERS LP   UNIT L P INT   049392103      250   7,600 SH          DEFINED               7,600      0    0
BP PLC                       SPONS ADR      055622104      613  13,830 SH          SOLE                 13,830      0    0
BP PLC                       SPONS ADR      055622104       87   1,966 SH          DEFINED               1,966      0    0
BANCO BILBAO VIZCAYA ARGENTA SPONS ADR      05946K101      168  14,283 SH          SOLE                 14,283      0    0
BANK OF AMERICA CORPORATION  COM            060505104       96   8,760 SH          SOLE                  8,760      0    0
BANK OF AMERICA CORPORATION  COM            060505104      305  27,802 SH          DEFINED              27,802      0    0
BANK OF NEW YORK MELLON CORP COM            064058100        4     150 SH          SOLE                    150      0    0
BANK OF NEW YORK MELLON CORP COM            064058100      478  18,639 SH          DEFINED              18,639      0    0
BAXTER INTL INC              COM            071813109      182   3,050 SH          SOLE                  3,050      0    0
BAXTER INTL INC              COM            071813109       57     950 SH          DEFINED                 950      0    0
BERKSHIRE HATHAWAY INC DEL   CL A           084670108      348       3 SH          SOLE                      3      0    0
BLACKROCK INC                COM            09247X101      125     650 SH          SOLE                    650      0    0
BLACKROCK INC                COM            09247X101      134     700 SH          DEFINED                 700      0    0
BOEING CO                    COM            097023105      207   2,802 SH          SOLE                  2,802      0    0
BOEING CO                    COM            097023105       37     500 SH          DEFINED                 500      0    0
BRISTOL MYERS SQUIBB CO      COM            110122108      274   9,446 SH          SOLE                  9,446      0    0
BRISTOL MYERS SQUIBB CO      COM            110122108      174   6,020 SH          DEFINED               6,020      0    0
BUCKEYE PARTNERS L P         UNIT LTD PARTN 118230101      200   3,100 SH          DEFINED               3,100      0    0
BURKE&HERBERT B&T ALEXANDRIA COM            121331102   11,711   4,931 SH          SOLE                  4,931      0    0
BURKE&HERBERT B&T ALEXANDRIA COM            121331102    1,945     819 SH          DEFINED                 819      0    0
CIGNA CORP                   COM            125509109      781  15,180 SH          DEFINED              15,180      0    0
CHEVRON CORP NEW             COM            166764100    1,099  10,684 SH          SOLE                 10,684      0    0
CHEVRON CORP NEW             COM            166764100    2,294  22,304 SH          DEFINED              22,304      0    0
CISCO SYS INC                COM            17275R102      201  12,899 SH          SOLE                 12,899      0    0
CISCO SYS INC                COM            17275R102      113   7,250 SH          DEFINED               7,250      0    0
CITIGROUP INC                COM NEW        172967424       37     900 SH          SOLE                    900      0    0
CITIGROUP INC                COM NEW        172967424      506  12,158 SH          DEFINED              12,158      0    0
COCA COLA CO                 COM            191216100      753  11,194 SH          SOLE                 11,194      0    0
COCA COLA CO                 COM            191216100      518   7,700 SH          DEFINED               7,700      0    0
COLGATE PALMOLIVE CO         COM            194162103      288   3,295 SH          SOLE                  3,295      0    0
COLGATE PALMOLIVE CO         COM            194162103      170   1,950 SH          DEFINED               1,950      0    0
COMCAST CORP NEW             CL A           20030N101      152   6,000 SH          SOLE                  6,000      0    0
COMCAST CORP NEW             CL A           20030N101       54   2,139 SH          DEFINED               2,139      0    0
CONOCOPHILLIPS               COM            20825C104      101   1,340 SH          SOLE                  1,340      0    0
CONOCOPHILLIPS               COM            20825C104      241   3,200 SH          DEFINED               3,200      0    0
CONSOLIDATED EDISON INC      COM            209115104      110   2,071 SH          SOLE                  2,071      0    0
CONSOLIDATED EDISON INC      COM            209115104       91   1,709 SH          DEFINED               1,709      0    0
DELL INC                     COM            24702R101       92   5,500 SH          SOLE                  5,500      0    0
DELL INC                     COM            24702R101       78   4,700 SH          DEFINED               4,700      0    0
DISNEY WALT CO               COM DISNEY     254687106      265   6,792 SH          SOLE                  6,792      0    0
DISNEY WALT CO               COM DISNEY     254687106      226   5,800 SH          DEFINED               5,800      0    0
DOMINION RES INC VA NEW      COM            25746U109      542  11,226 SH          SOLE                 11,226      0    0
DOMINION RES INC VA NEW      COM            25746U109      354   7,324 SH          DEFINED               7,324      0    0
DOW CHEM CO                  COM            260543103       18     500 SH          SOLE                    500      0    0
DOW CHEM CO                  COM            260543103      185   5,150 SH          DEFINED               5,150      0    0
DU PONT E I DE NEMOURS & CO  COM            263534109      623  11,522 SH          SOLE                 11,522      0    0
DU PONT E I DE NEMOURS & CO  COM            263534109      622  11,501 SH          DEFINED              11,501      0    0
EMERSON ELEC CO              COM            291011104      167   2,964 SH          SOLE                  2,964      0    0






                                                  FORM 13F INFORMATION TABLE

          COLUMN 1              COLUMN 2    COLUMN 3  COLUMN 4      COLUMN 5        COLUMN 6  COLUMN 7      COLUMN 8
---------------------------- -------------- --------- -------- ------------------- ---------- -------- -------------------
                                                       VALUE    SHRS OR   SH/ PUT/ INVESTMENT  OTHER    VOTING AUTHORITY
       NAME OF ISSUER        TITLE OF CLASS   CUSIP   (x$1000)  PRN AMT   PRN CALL DISCRETION MANAGERS  SOLE   SHARED NONE
---------------------------- -------------- --------- -------- ---------- --- ---- ---------- -------- ------- ------ ----
                                                                                     
EMERSON ELEC CO              COM            291011104      105   1,860 SH          DEFINED               1,860      0    0
EXELON CORP                  COM            30161N101      123   2,882 SH          SOLE                  2,882      0    0
EXELON CORP                  COM            30161N101      191   4,450 SH          DEFINED               4,450      0    0
EXXON MOBIL CORP             COM            30231G102    3,296  40,497 SH          SOLE                 40,497      0    0
EXXON MOBIL CORP             COM            30231G102    5,253  64,546 SH          DEFINED              64,546      0    0
FEDERAL REALTY INVT TR       SH BEN INT NEW 313747206      779   9,150 SH          DEFINED               9,150      0    0
FLUOR CORP NEW               COM            343412102      407   6,300 SH          DEFINED               6,300      0    0
FREEPORT-MCMORAN COPPER & GO COM            35671D857    1,235  23,342 SH          DEFINED              23,342      0    0
GENERAL ELECTRIC CO          COM            369604103    1,894 100,441 SH          SOLE                100,441      0    0
GENERAL ELECTRIC CO          COM            369604103    2,121 112,473 SH          DEFINED             112,473      0    0
GLAXOSMITHKLINE PLC          SPONS ADR      37733W105      151   3,516 SH          SOLE                  3,516      0    0
GLAXOSMITHKLINE PLC          SPONS ADR      37733W105       68   1,582 SH          DEFINED               1,582      0    0
GOOGLE INC                   CL A           38259P508       28      55 SH          SOLE                     55      0    0
GOOGLE INC                   CL A           38259P508      182     360 SH          DEFINED                 360      0    0
HEWLETT PACKARD CO           COM            428236103      728  20,012 SH          SOLE                 20,012      0    0
HEWLETT PACKARD CO           COM            428236103      421  11,575 SH          DEFINED              11,575      0    0
HOME DEPOT INC               COM            437076102      158   4,375 SH          SOLE                  4,375      0    0
HOME DEPOT INC               COM            437076102      195   5,383 SH          DEFINED               5,383      0    0
HONEYWELL INTL INC           COM            438516106      314   5,262 SH          SOLE                  5,262      0    0
HONEYWELL INTL INC           COM            438516106       77   1,300 SH          DEFINED               1,300      0    0
INTEL CORP                   COM            458140100      353  15,928 SH          SOLE                 15,928      0    0
INTEL CORP                   COM            458140100      192   8,675 SH          DEFINED               8,675      0    0
INTERNATIONAL BUSINESS MACHS COM            459200101      860   5,012 SH          SOLE                  5,012      0    0
INTERNATIONAL BUSINESS MACHS COM            459200101      545   3,177 SH          DEFINED               3,177      0    0
ISHARES TR                   BARCLY USAGG B 464287226      247   2,315 SH          SOLE                  2,315      0    0
ISHARES TR                   RUSSELL 3000   464287689      259   3,270 SH          DEFINED               3,270      0    0
ISHARES TR                   DJ US INDEX FD 464287846      221   3,300 SH          SOLE                  3,300      0    0
JPMORGAN CHASE & CO          COM            46625H100      176   4,307 SH          SOLE                  4,307      0    0
JPMORGAN CHASE & CO          COM            46625H100      116   2,839 SH          DEFINED               2,839      0    0
JOHNSON & JOHNSON            COM            478160104    2,778  41,761 SH          SOLE                 41,761      0    0
JOHNSON & JOHNSON            COM            478160104      663   9,960 SH          DEFINED               9,960      0    0
JOHNSON CTLS INC             COM            478366107      306   7,350 SH          DEFINED               7,350      0    0
KIMBERLY CLARK CORP          COM            494368103      275   4,139 SH          SOLE                  4,139      0    0
KIMBERLY CLARK CORP          COM            494368103      193   2,898 SH          DEFINED               2,498     40    0
KRAFT FOODS INC              CL A           50075N104      448  12,703 SH          SOLE                 12,703      0    0
KRAFT FOODS INC              CL A           50075N104       69   1,961 SH          DEFINED               1,961      0    0
LOCKHEED MARTIN CORP         COM            539830109      185   2,280 SH          SOLE                  2,280      0    0
LOCKHEED MARTIN CORP         COM            539830109       49     600 SH          DEFINED                 600      0    0
MANULIFE FINL CORP           COM            56501R106      159   8,988 SH          SOLE                  8,988      0    0
MANULIFE FINL CORP           COM            56501R106      293  16,608 SH          DEFINED              16,608      0    0
MCDONALDS CORP               COM            580135101      291   3,454 SH          SOLE                  3,454      0    0
MCDONALDS CORP               COM            580135101      122   1,450 SH          DEFINED               1,450      0    0
MEDCO HEALTH SOLUTIONS INC   COM            58405U102      216   3,824 SH          SOLE                  3,824      0    0
MEDCO HEALTH SOLUTIONS INC   COM            58405U102       78   1,372 SH          DEFINED               1,372      0    0
MEDTRONIC INC                COM            585055106      280   7,274 SH          SOLE                  7,274      0    0
MEDTRONIC INC                COM            585055106      129   3,350 SH          DEFINED               3,350      0    0
MERCK & CO INC NEW           COM            58933Y105      446  12,630 SH          SOLE                 12,630      0    0
MERCK & CO INC NEW           COM            58933Y105      631  17,880 SH          DEFINED              17,880      0    0
MICROSOFT CORP               COM            594918104      298  11,453 SH          SOLE                 11,453      0    0
MICROSOFT CORP               COM            594918104      406  15,625 SH          DEFINED              15,625      0    0
NEXTERA ENERGY INC           COM            65339F101      283   4,932 SH          SOLE                  4,932      0    0
NEXTERA ENERGY INC           COM            65339F101      175   3,040 SH          DEFINED               3,040      0    0
NORFOLK SOUTHERN CORP        COM            655844108      636   8,489 SH          SOLE                  8,489      0    0
NORFOLK SOUTHERN CORP        COM            655844108      502   6,700 SH          DEFINED               6,700      0    0
OMNICOM GROUP INC            COM            681919106       35     720 SH          SOLE                    720      0    0
OMNICOM GROUP INC            COM            681919106      193   4,000 SH          DEFINED               4,000      0    0
ORACLE CORP                  COM            68389X105      120   3,650 SH          SOLE                  3,650      0    0
ORACLE CORP                  COM            68389X105      208   6,330 SH          DEFINED               6,330      0    0
PPG INDS INC                 COM            693506107      277   3,050 SH          SOLE                  3,050      0    0
PEPSICO INC                  COM            713448108      687   9,755 SH          SOLE                  9,755      0    0






                                                  FORM 13F INFORMATION TABLE

          COLUMN 1              COLUMN 2    COLUMN 3  COLUMN 4      COLUMN 5        COLUMN 6  COLUMN 7      COLUMN 8
---------------------------- -------------- --------- -------- ------------------- ---------- -------- -------------------
                                                       VALUE    SHRS OR   SH/ PUT/ INVESTMENT  OTHER    VOTING AUTHORITY
       NAME OF ISSUER        TITLE OF CLASS   CUSIP   (x$1000)  PRN AMT   PRN CALL DISCRETION MANAGERS  SOLE   SHARED NONE
---------------------------- -------------- --------- -------- ---------- --- ---- ---------- -------- ------- ------ ----
                                                                                     
PEPSICO INC                  COM            713448108      738  10,473 SH          DEFINED              10,473      0    0
PFIZER INC                   COM            717081103    1,095  53,176 SH          SOLE                 53,176      0    0
PFIZER INC                   COM            717081103    1,269  61,587 SH          DEFINED              61,587      0    0
PHILIP MORRIS INTL INC       COM            718172109    1,272  19,050 SH          SOLE                 19,050      0    0
PHILIP MORRIS INTL INC       COM            718172109      457   6,842 SH          DEFINED               6,842      0    0
PROCTER & GAMBLE CO          COM            742718109      600   9,446 SH          SOLE                  9,446      0    0
PROCTER & GAMBLE CO          COM            742718109      502   7,891 SH          DEFINED               7,891      0    0
PROTECTIVE LIFE CORP         COM            743674103    5,377 232,488 SH          SOLE                232,488      0    0
REGIONS FINANCIAL CORP NEW   COM            7591EP100      503  81,091 SH          SOLE                 81,091      0    0
ROYAL DUTCH SHELL PLC        SPONS ADR A    780259206      382   5,370 SH          SOLE                  5,370      0    0
SPDR SERIES TRUST            BRCLYS YLD ETF 78464A417       39     979 SH          SOLE                    979      0    0
SPDR SERIES TRUST            BRCLYS YLD ETF 78464A417      268   6,675 SH          DEFINED               6,675      0    0
SARA LEE CORP                COM            803111103      156   8,225 SH          SOLE                  8,225      0    0
SARA LEE CORP                COM            803111103       72   3,800 SH          DEFINED               3,800      0    0
SCHLUMBERGER LTD             COM            806857108      285   3,303 SH          SOLE                  3,303      0    0
SCHLUMBERGER LTD             COM            806857108      137   1,590 SH          DEFINED               1,590      0    0
SPACE PROPULSION SYS INC     COM            846192102        0  16,250 SH          SOLE                 16,250      0    0
TARGET CORP                  COM            87612E106       62   1,326 SH          SOLE                  1,326      0    0
TARGET CORP                  COM            87612E106      166   3,535 SH          DEFINED               3,535      0    0
3M CO                        COM            88579Y101      646   6,813 SH          SOLE                  6,813      0    0
3M CO                        COM            88579Y101      489   5,158 SH          DEFINED               5,158      0    0
TRAVELERS COMPANIES INC      COM            89417E109        3      45 SH          SOLE                     45      0    0
TRAVELERS COMPANIES INC      COM            89417E109      258   4,421 SH          DEFINED               4,421      0    0
UNITED TECHNOLOGIES CORP     COM            913017109      286   3,230 SH          SOLE                  3,230      0    0
UNITED TECHNOLOGIES CORP     COM            913017109      527   5,955 SH          DEFINED               5,955      0    0
UNITEDHEALTH GROUP INC       COM            91324P102      299   5,800 SH          SOLE                  5,800      0    0
UNITEDHEALTH GROUP INC       COM            91324P102       41     800 SH          DEFINED                 800      0    0
VANGUARD SCOTTSDALE FDS      INT-TERM CORP  92206C870      201   2,500 SH          DEFINED               2,500      0    0
VERIZON COMMUNICATIONS INC   COM            92343V104      705  18,932 SH          SOLE                 18,932      0    0
VERIZON COMMUNICATIONS INC   COM            92343V104      907  24,365 SH          DEFINED              24,365      0    0
WAL MART STORES INC          COM            931142103      931  17,512 SH          SOLE                 17,512      0    0
WAL MART STORES INC          COM            931142103      356   6,700 SH          DEFINED               6,700      0    0
WASHINGTON REAL ESTATE INVT  SH BEN INT     939653101      182   5,599 SH          SOLE                  5,599      0    0
WASHINGTON REAL ESTATE INVT  SH BEN INT     939653101      124   3,800 SH          DEFINED               3,800      0    0
WELLS FARGO & CO NEW         COM            949746101      349  12,437 SH          SOLE                 12,437      0    0
WELLS FARGO & CO NEW         COM            949746101      203   7,228 SH          DEFINED               7,228      0    0
YUM BRANDS INC               COM            988498101       87   1,572 SH          SOLE                  1,572      0    0
YUM BRANDS INC               COM            988498101      122   2,200 SH          DEFINED               2,200      0    0