1



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


                                   FORM 10-K/A
                                 Amendment No. 1
  (Mark one)
     X      Annual report pursuant to Section 13 or 15(d) of the Securities
            Exchange Act of 1934. For the fiscal year ended December 31, 2002.

    ____    Transition report pursuant to Section 13 or 15(d) of the Securities
            Exchange Act of 1934. For the transition period from   ________
            to ________.

                         Commission file number 0-24020

                             SYPRIS SOLUTIONS, INC.
             (Exact name of registrant as specified in its charter)

         DELAWARE                                     61-1321992
(State or other jurisdiction                       (I.R.S. Employer
of incorporation or organization)                 Identification No.)

                           101 BULLITT LANE, SUITE 450
                           LOUISVILLE, KENTUCKY 40222
          (Address of principal executive offices, including zip code)

                                 (502) 329-2000
              (Registrant's telephone number, including area code)

           SECURITIES REGISTERED PURSUANT TO SECTION 12(B) OF THE ACT:
                                      NONE

           SECURITIES REGISTERED PURSUANT TO SECTION 12(G) OF THE ACT:
                          COMMON STOCK, $.01 PAR VALUE
                                (Title of Class)

Indicate by check mark whether the registrant (1) has filed all reports required
to be filed by Section 13 or 15(d) of the Securities Exchange Act of 1934 during
the  preceding 12 months (or for such  shorter  period that the  registrant  was
required  to file  such  reports),  and  (2) has  been  subject  to such  filing
requirements for the past 90 days.

Yes      X               No ____

Indicate by check mark if disclosure of delinquent  filers  pursuant to Item 405
of Regulation  S-K is not contained  herein,  and will not be contained,  to the
best of registrant's  knowledge,  in definitive proxy or information  statements
incorporated by reference in Part III of this Form 10-K or any amendment to this
Form 10-K. [ ]

Indicate  by check mark  whether  the  registrant  is an  accelerated  filer (as
defined in Rule 12b-2 of the Act)

Yes      X               No ____

As  of  June  28,  2002,  shares  of  the  registrant's  common  stock  held  by
non-affiliates  (based upon the closing  sale price of the  registrant's  common
stock reported for such date on the Nasdaq  National  Market),  had an aggregate
market  value of  approximately  $101,499,484.  As of  February  24,  2003,  the
registrant had 14,184,538 shares of common stock outstanding.

                       DOCUMENTS INCORPORATED BY REFERENCE

Portions of the definitive  Proxy  Statement to be delivered to  shareholders in
connection with the Annual Meeting of Stockholders to be held April 29, 2003 are
incorporated by reference into Part III to the extent described therein.

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                                     PART IV


ITEM 15.   EXHIBITS, FINANCIAL STATEMENT SCHEDULES, AND REPORTS ON FORM 8-K

(a)  The following documents are filed as part of this Report:

     1.  Financial Statements

         The financial statements as set forth under Item 8 of this report on
         Form 10-K are included.

     2.  Financial Statement Schedules

         Schedule II - Valuation and Qualifying Accounts

         All other consolidated  financial statement schedules have been omitted
because  the  required  information  is  shown  in  the  consolidated  financial
statements or notes thereto or they are not applicable.

     3.  Exhibits

EXHIBIT
NUMBER        DESCRIPTION
------        -----------

2             Fourth Amended and Restated Agreement and Plan of Reorganization
              dated  February  5, 1998 by and among  Group  Financial  Partners,
              Inc., Group Technologies Corporation, Bell Technologies,  Inc. and
              Tube  Turns  Technologies,   Inc. (incorporated  by  reference  to
              Appendix  A  to  the   Prospectus   included   in  the   Company's
              Registration  Statement on Form S-4/A filed February 12, 1998 (No.
              333-20299)).

3.1           Certificate of Incorporation of the Company (incorporated by
              reference to Exhibit 4.1 to the Company's  Registration  Statement
              on Form S-8 filed May 9, 2002 (No. 333-87880)).

3.2           Bylaws of the Company (incorporated by reference to Exhibit 4.2 to
              the Company's Registration Statement on Form S-8 filed May 9, 2002
              (No. 333-87880)).

4.1           Specimen common stock certificate (incorporated by reference to
              Exhibit 4.1 to the  Company's  Form 10-K for the fiscal year ended
              December 31, 1998 filed on March 5, 1999).

4.2           Rights Agreement dated as of October 23, 2001 between the Company
              and LaSalle Bank National Association,  as Rights Agent, including
              as Exhibit A the Form of Certificate of Designation and as Exhibit
              B the Form of Right  Certificate  (incorporated  by  reference  to
              Exhibit  4.1 to the  Company's  Form 8-K filed on October 23, 2001
              (Commission File No. 000-24020)).

10.1          Purchase and Sale Agreement among Honeywell Inc., Defense
              Communications   Products   Corporation   (prior   name  of  Group
              Technologies Corporation) and Group Financial Partners, Inc. dated
              May 21, 1989  (incorporated  by reference to Exhibit  10.18 to the
              Company's  Registration  Statement  on Form S-1 filed May 18, 1994
              (Registration No. 33-76326)).

10.2          Purchase and Sale Agreement among Alliant Techsystems Inc., MAC
              Acquisition  I, Inc.  and  Group  Technologies  Corporation  dated
              December 31, 1992  (incorporated  by reference to Exhibit 10.16 to
              the  Company's  Registration  Statement  on Form S-1 filed May 18,
              1994 (Registration No. 33-76326)).

10.3          Purchase and Sale Agreement among Philips Electronic North America
              Corporation and Group Technologies Corporation dated June 25, 1993
              (incorporated  by  reference  to  Exhibit  10.17 to the  Company's
              Registration   Statement   on  Form  S-1   filed   May  18,   1994
              (Registration No. 33-76326)).

10.4          Stock and Asset Purchase and Sale Agreement among Group
              Technologies  Corporation,   Group  Technologies  Mexican  Holding
              Company, SCI Systems, Inc., SCI Systems de Mexico S.A. de C.V. and
              SCI Holdings,  Inc. dated June 30, 1997 (incorporated by reference
              to Exhibit  2.1 to the  Company's  Form 8-K filed on July 15, 1997
              (Commission File No. 000-24020)).

10.5          Asset Purchase Agreement among Datatape Incorporated, Delta Tango,
              Inc., Metrum-D, Inc., Impactdata,  Inc. and M. Stuart Millar dated
              November  12, 1997  (incorporated  by reference to Exhibit 2.11 to
              the Company's  Form 10-Q for the  quarterly  period ended June 28,
              1998 filed on August 4, 1998 (Commission File No. 000-24020)).


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EXHIBIT
NUMBER        DESCRIPTION
------        -----------

10.6          Asset Purchase Agreement dated April 6, 2001 by and between Tube
              Turns  Technologies,  Inc.  and Dana  Corporation  as amended by a
              First  Amendment  dated  May 4,  2001 and as  amended  by a Second
              Amendment  on May 15, 2001  (incorporated  by reference to Exhibit
              2.1 to the Company's Form 10-Q for the quarterly period ended June
              30, 2001 filed on July 30, 2001 (Commission File No. 000-24020)).

10.7          1999 Amended and Restated Loan Agreement between Bank One,
              Kentucky,  NA, Sypris Solutions,  Inc., Bell  Technologies,  Inc.,
              Tube Turns Technologies,  Inc., Group Technologies Corporation and
              Metrum-Datatape,  Inc.  dated  October 27, 1999  (incorporated  by
              reference  to  Exhibit  10.1 to the  Company's  Form  10-K for the
              fiscal year ended  December  31,  1999 filed on February  25, 2000
              (Commission File No. 000-24020)).

10.7.1        2000A Amendment to Loan Documents between Bank One, Kentucky, NA,
              Sypris  Solutions,  Inc.,  Bell  Technologies,  Inc.,  Tube  Turns
              Technologies,    Inc.,   Group   Technologies    Corporation   and
              Metrum-Datatape,  Inc.  dated  November 9, 2000  (incorporated  by
              reference  to Exhibit  10.6.1 to the  Company's  Form 10-K for the
              fiscal  year  ended  December  31,  2000  filed on  March 2,  2001
              (Commission File No. 000-24020)).

10.7.2        2001A Amendment to Loan Documents between Bank One, Kentucky, NA,
              Sypris  Solutions,  Inc.,  Bell  Technologies,  Inc.,  Tube  Turns
              Technologies,    Inc.,   Group   Technologies    Corporation   and
              Metrum-Datatape,  Inc.  dated February 15, 2001  (incorporated  by
              reference  to Exhibit  10.6.2 to the  Company's  Form 10-Q for the
              quarterly  period  ended  April 1, 2001  filed on April  30,  2001
              (Commission File No. 000-24020)).

10.7.3        2002A Amendment to Loan Documents between Bank One, Kentucky, NA,
              Sypris Solutions,  Inc.,  Sypris Test & Measurement,  Inc., Sypris
              Technologies,  Inc., Sypris Electronics, LLC, Sypris Data Systems,
              Inc. and Sypris Technologies  Marion, LLC dated December 21, 2001
              (incorporated by reference to Exhibit 10.6.3 to the Company's Form
              10-K for the fiscal year ended  December 31, 2001 filed on January
              31, 2002 (Commission File No. 000-24020)).

10.7.4        2002B Amendment to Loan Documents between Bank One, Kentucky, NA,
              Sypris Solutions,  Inc.,  Sypris Test & Measurement,  Inc., Sypris
              Technologies,  Inc., Sypris Electronics, LLC, Sypris Data Systems,
              Inc.  and  Sypris  Technologies  Marion,  LLC  dated  July 3, 2002
              (incorporated by reference to Exhibit 10.25 to the Company's  Form
              10-Q for the  quarterly  period  ended June 30, 2002 filed on July
              29, 2002 (Commission File No. 000-24020)).

10.8          Lease between John Hancock Mutual Life Insurance Company and
              Honeywell, Inc. dated April 27, 1979; related Notice of Assignment
              from John  Hancock  Mutual  Life  Insurance  Company to  Sweetwell
              Industrial   Associates,   L.P.,  dated  July  10,  1986;  related
              Assignment  and  Assumption of Lease between  Honeywell,  Inc. and
              Defense  Communications  Products Corporation (prior name of Group
              Technologies   Corporation)   dated  May  21,  1989;  and  related
              Amendment  I  to  Lease  Agreement  between  Sweetwell  Industries
              Associates,  L.P. and Group Technologies Corporation dated October
              25, 1991,  regarding Tampa industrial park property  (incorporated
              by  reference  to  Exhibit  10.2  to  the  Company's  Registration
              Statement  on Form  S-1  filed  May  18,  1994  (Registration  No.
              33-76326)).

10.8.1        Agreement related to Fourth Renewal of Lease between Sweetwell
              Industries  Associates,  L.P. and Group  Technologies  Corporation
              dated November 1, 2000,  regarding Tampa  industrial park property
              (incorporated by reference to Exhibit 10.8.1 to the Company's Form
              10-K for the fiscal year ended December 31, 2000 filed on March 2,
              2001 (Commission File No. 000-24020)).

10.9          Lease between Metrum-Datatape, Inc. (assignee of Metrum, Inc.) and
              Alliant  Techsystems,  Inc.  dated March 29, 1993 and amended July
              29, 1993,  May 2, 1994,  November  14, 1995,  December 4, 1996 and
              February  12,  1998  regarding  4800 East Dry Creek Road  Property
              (incorporated  by reference to Exhibit 10.25 to the Company's Form
              10-Q for the quarterly  period ended June 28, 1998 filed on August
              4, 1998 (Commission File No. 000-24020)).

10.10         Sublease between Pharmacia & Upjohn Company and Metrum-D, Inc.
              dated  November  14, 1997  (incorporated  by  reference to Exhibit
              10.26 to the Company's  Form 10-Q for the  quarterly  period ended
              June 28,  1998  filed  on  August  4,  1998  (Commission  File No.
              000-24020)).


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EXHIBIT
NUMBER        DESCRIPTION
------        -----------

10.10.1       Amendment of Sublease between Pharmacia & Upjohn Company and
              Metrum-Datatape,  Inc.  dated  August  6,  1998  (incorporated  by
              reference to Exhibit  10.10.1 to the  Company's  Form 10-K for the
              fiscal  year  ended  December  31,  2000  filed on  March 2,  2001
              (Commission File No. 000-24020)).

10.11*        Sypris Solutions, Inc. Stock Option Plan, Restated effective
              December  17,  1996,  dated  January  22,  1990  (incorporated  by
              reference to Exhibit  10.22.2 to the  Company's  Form 10-K for the
              fiscal  year  ended  December  31,  1996  filed on March 31,  1997
              (Commission File No. 000-24020)).

10.12*        Sypris Solutions, Inc. 1994 Stock Option Plan for Key Employees as
              Amended and Restated effective December 18, 2002.

10.13*        Sypris Solutions, Inc. Share Performance Program For Stock Option
              Grants  dated July 1, 1998  (incorporated  by reference to Exhibit
              10.28 to the Company's  Form 10-Q for the  quarterly  period ended
              June 28,  1998  filed  on  August  4,  1998  (Commission  File No.
              000-24020)).

10.14*        Sypris Solutions, Inc. Independent Directors' Stock Option Plan as
              Amended and Restated  effective February 26, 2002 (incorporated by
              reference to Exhibit 4.5 to the Company's Form S-8 filed on May 9,
              2002 (Registration No. 333-87882)).

10.15*        Sypris Solutions, Inc. Independent Directors Compensation Program
              Amended  and  Restated  on May 7, 2002,  dated  September  1, 1995
              (incorporated  by reference to Exhibit 10.24 to the Company's Form
              10-Q for the  quarterly  period  ended June 30, 2002 filed on July
              29, 2002 (Commission File No. 000-24020)).

10.16*        Sypris Solutions, Inc. Executive Bonus Plan, effective as of
              January 2, 2001 (incorporated by reference to Exhibit 10.19 to the
              Company's  Form 10-K for the fiscal year ended  December  31, 2000
              filed on March 2, 2001 (Commission File No. 000-24020)).

10.17*        Sypris Solutions, Inc. Executive Bonus Plan, effective as of
              January 2, 2002,  executed on or after April 1, 2002 (incorporated
              by reference to Exhibit 10.21 to the  Company's  Form 10-Q for the
              quarterly  period  ended  March 31,  2002 filed on April 29,  2002
              (Commission File No. 000-24020)).

10.18*        Employment Agreement by and between Metrum-Datatape, Inc. and G.
              Darrell  Robertson  dated  February  28,  2000   (incorporated  by
              reference  to  Exhibit  10.20 to the  Company's  Form 10-K for the
              fiscal  year  ended  December  31,  2000  filed on  March 2,  2001
              (Commission File No. 000-24020)).

10.19         Underwriting Agreement dated March 20, 2002 among Sypris
              Solutions,  Inc., Needham & Company, Inc. and A.G. Edwards & Sons,
              Inc.  (incorporated by reference to Exhibit 10.20 to the Company's
              Form 10-Q for the  quarterly  period ended March 31, 2002 filed on
              April 29, 2002 (Commission File No. 000-24020)).

21**          Subsidiaries of the Company

23**          Consent of Ernst & Young LLP

99.1          Certification of Chief Executive Officer and Chief Financial
              Officer Pursuant to Section 906 of the  Sarbanes-Oxley Act of 2002
              (18 U.S.C. 1350).

*  Management contract or compensatory plan or arrangement.
**Previously filed.

(b)           Reports on Form 8-K.

              None


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                                   SIGNATURES

         Pursuant to the  requirements  of Section 13 or 15(d) of the Securities
Exchange Act of 1934,  the  registrant  has duly caused this Annual Report to be
signed on its behalf by the undersigned, thereunto duly authorized, on March 21,
2003.

                                           SYPRIS SOLUTIONS, INC.
                                                (Registrant)



                                             /S/ JEFFREY T. GILL
                                                (Jeffrey T. Gill)
                                       President and Chief Executive Officer




                                 CERTIFICATIONS

I, Jeffrey T. Gill, certify that:

1.       I have reviewed this annual report on Form 10-K/A of Sypris Solutions,
         Inc.;

2.       Based on my  knowledge,  this  annual  report  does not contain  any
         untrue  statement of a material  fact or omit to state a material  fact
         necessary to make the  statements  made, in light of the  circumstances
         under which such  statements  were made, not misleading with respect to
         the period covered by this annual report;

3.       Based on my knowledge,  the financial  statements,  and other financial
         information  included  in this  annual  report,  fairly  present in all
         material  respects the financial  condition,  results of operations and
         cash flows of the  registrant as of, and for, the periods  presented in
         this annual report;

4.       The registrant's  other certifying  officers and I are responsible for
         establishing  and  maintaining  disclosure  controls and procedures (as
         defined in Exchange  Act Rules  13a-14 and 15d-14) for the  registrant,
         and we have:

         (a)  Designed  such  disclosure controls and  procedures to ensure that
              material  information  relating to the  registrant,  including its
              consolidated  subsidiaries,  is made known to us by others  within
              those  entities,  particularly  during  the  period in which  this
              annual report is being prepared,

         (b)  Evaluated the effectiveness of the registrant's disclosure
              controls and  procedures  as of a date within 90 days prior to the
              filing date of this annual report (the "Evaluation Date"), and

         (c)  Presented in this annual report our conclusions about the
              effectiveness  of the disclosure  controls and procedures based on
              our evaluation as of the Evaluation Date;

5.       The registrant's other certifying officers and I have disclosed,  based
              on our most recent  evaluation,  to the registrant's  auditors and
              the audit committee of the registrant's board of directors:

         (a)  All  significant  deficiencies  in the  design or  operation  of
              internal  controls which could adversely  affect the  registrant's
              ability to record,  process,  summarize and report  financial data
              and have  identified  for the  registrant's  auditors any material
              weaknesses in internal controls; and

         (b)  Any fraud,  whether or not material, that involves management  or
              other  employees who have a significant  role in the  registrant's
              internal controls; and

6.       The registrant's other certifying officers and I have indicated in this
         annual  report  whether  there were  significant  changes  in  internal
         controls or in other factors that could  significantly  affect internal
         controls  subsequent  to  the  date  of  our  most  recent  evaluation,
         including   any   corrective   actions   with  regard  to   significant
         deficiencies and material weaknesses.


Date:         MARCH 21, 2003                By:  /s/ JEFFREY T. GILL
                                                      Jeffrey T. Gill
                                            President & Chief Executive Officer


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I, David D. Johnson, certify that:

1.       I have reviewed this annual report on Form 10-K/A of Sypris Solutions,
         Inc.;

2.       Based on my knowledge, this annual  report does not contain  any untrue
         statement of a material fact or omit to state a material fact necessary
         to make the statements made, in light of the circumstances  under which
         such  statements  were made, not misleading  with respect to the period
         covered by this annual report;

3.       Based on my knowledge, the financial  statements,  and other  financial
         information  included  in this  annual  report,  fairly  present in all
         material  respects the financial  condition,  results of operations and
         cash flows of the  registrant as of, and for, the periods  presented in
         this annual report;

4.       The registrant's  other certifying  officers and I are responsible for
         establishing  and  maintaining  disclosure  controls and procedures (as
         defined in Exchange  Act Rules  13a-14 and 15d-14) for the  registrant,
         and we have:

         (a)  Designed  such  disclosure controls and  procedures to ensure that
              material  information  relating to the  registrant,  including its
              consolidated  subsidiaries,  is made known to us by others  within
              those  entities,  particularly  during  the  period in which  this
              annual report is being prepared,

         (b)  Evaluated the effectiveness of the registrant's  disclosure
              controls and  procedures  as of a date within 90 days prior to the
              filing date of this annual report (the "Evaluation Date"), and

         (c)  Presented in this annual report our conclusions about the
              effectiveness  of the disclosure  controls and procedures based on
              our evaluation as of the Evaluation Date;

5.       The registrant's other certifying officers and I have disclosed,  based
         on our most recent  evaluation, to the  registrant's auditors  and  the
         audit committee of the registrant's board of directors:

         (a)  All  significant  deficiencies  in the  design or  operation  of
              internal  controls which could adversely  affect the  registrant's
              ability to record,  process,  summarize and report  financial data
              and have  identified  for the  registrant's  auditors any material
              weaknesses in internal controls; and

         (b)  Any fraud,  whether or not material,  that  involves  management
              or other employees who have a significant role in the registrant's
              internal controls; and

6.       The registrant's other certifying officers and I have indicated in this
         annual  report  whether  there were  significant  changes  in  internal
         controls or in other factors that could  significantly  affect internal
         controls  subsequent  to  the  date  of  our  most  recent  evaluation,
         including   any   corrective   actions   with  regard  to   significant
         deficiencies and material weaknesses.


Date:         MARCH 21, 2003         By:  /s/ DAVID D. JOHNSON
                                              David D. Johnson
                                      Vice President & Chief Financial Officer



  7




                                                              SCHEDULE II

                             SYPRIS SOLUTIONS, INC.
                        VALUATION AND QUALIFYING ACCOUNTS



                                              BALANCE AT        CHARGED TO           CHARGED TO                      BALANCE AT
                                              BEGINNING         COSTS AND               OTHER                          END OF
                                              OF PERIOD          EXPENSES             ACCOUNTS        DEDUCTIONS       PERIOD
                                              ---------          --------             --------        ----------       ------
                                                                                  (IN THOUSANDS)
                                                                                                        

Allowance for doubtful accounts:

Year ended December 31, 2002...............  $       775   $       231              $    --            $  (483) (1)     $   523

Year ended December 31, 2001...............  $       679   $       122              $    --            $   (26) (1)     $   775

Year ended December 31, 2000...............  $       670   $        18              $    --            $    (9) (1)     $   679

Reserve for inactive, obsolete and unsalable inventory:

Year ended December 31, 2002...............  $     3,921   $       727              $    --            $   (207)(2)     $ 4,441

Year ended December 31, 2001...............  $     3,004   $       432              $   500 (3)        $    (15)(2)     $ 3,921

Year ended December 31, 2000...............  $     2,669   $       453              $    --            $   (118)(2)     $ 3,004

(1)    Uncollectible accounts written off.
(2)    Inactive, obsolete and unsalable inventory written off.
(3)    Excess and obsolete reserve assumed in acquisition.